J.Jill Financial Ratios for Analysis 2014-2025 | JILL

Fifteen years of historical annual and quarterly financial ratios and margins for J.Jill (JILL).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202520242023202220212020201920182017201620152014
0.960.891.260.890.751.001.701.261.201.330.88-
0.400.761.001.281.740.860.530.570.680.590.53-
0.664.19-952.79-4.70-2.506.071.121.352.181.441.15-
70.3770.8568.7667.4057.5661.9965.1766.4766.9664.5365.9164.64
12.3914.1512.7310.03-38.46-16.208.679.919.302.528.086.02
12.3914.1512.7310.03-38.46-16.208.679.919.302.528.086.02
15.8817.9216.8915.03-22.438.5614.1015.3015.2610.7012.3711.54
8.848.129.49-3.44-43.95-19.035.977.156.38-0.424.381.84
6.465.956.82-4.81-32.67-18.604.327.933.77-1.102.130.99
1.461.421.331.300.861.091.131.171.120.971.74-
2.953.333.823.413.123.623.182.903.173.092.98-
12212187.8710154.7693.32176148111178131-
3.003.034.153.626.673.912.072.473.302.052.78-
37.3397.27-19,258.5163.02144-333.3814.2830.8819.59-3.70-781.78-
-264.22-40.80-31.6915.2156.7784.67-25.56-33.22-10.132.93-14.15-
9.458.459.04-6.23-28.04-20.284.879.274.24-1.063.70-
22.5422.9420.57-17.87-105.76-47.666.7613.246.22-1.526.79-
6.903.51-0.02-4.46-10.064.3524.4820.4961483372.55-
4.304.405.216.03-3.803.737.638.767.685.464.735.18
3.123.224.165.59-4.221.654.844.363.441.571.972.04

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2025-01-312024-10-312024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-01-312014-01-31
0.960.970.891.000.891.060.980.871.261.241.181.000.890.860.890.800.750.760.350.411.001.020.970.971.701.691.651.491.261.271.291.351.20------
0.400.400.430.690.760.820.890.981.001.011.061.181.281.321.372.011.741.45--0.860.760.770.590.530.530.540.560.570.620.630.670.68------
0.660.690.812.914.194.978.3248.28-952.79-104.22-17.49-6.94-4.70-4.27-3.81-2.21-2.50-3.28-5.35-8.566.073.153.301.431.121.141.191.261.351.651.722.042.18------
66.3371.3870.4772.9067.5071.9871.7472.1365.1769.9270.1569.6963.8868.9068.6768.0456.7558.8659.3955.1559.5264.3958.2865.8963.0966.3264.9166.2962.1966.9867.6269.5963.1967.8068.3868.74---
3.5612.7114.8317.576.9814.6717.9016.905.1712.5517.5815.215.1812.5214.766.73-22.61-20.55-23.56-98.65-22.035.40-52.446.134.707.9710.7311.046.218.1814.1411.186.479.7011.329.77---
3.5612.7114.8317.576.9814.6717.9016.905.1712.5517.5815.215.1812.5214.766.73-22.61-20.55-23.56-98.65-22.035.40-52.446.134.707.9710.7311.046.218.1814.1411.186.479.7011.329.77---
---------------------------------------
2.0411.157.2614.193.0510.8313.974.371.418.9314.7912.372.189.11-12.69-13.10-29.10-25.99-28.14-103.76-24.842.50-55.223.291.955.278.038.393.705.4111.338.203.486.668.496.99---
1.578.165.2810.343.177.709.723.060.695.9411.109.182.467.41-15.48-14.18-21.40-19.76-20.55-77.25-22.961.44-53.522.471.233.845.836.2015.563.706.614.831.234.904.944.11---
0.340.360.400.360.350.340.380.370.320.310.350.340.320.330.340.260.250.220.160.150.270.240.260.220.270.280.300.310.320.270.320.290.29------
0.780.700.870.820.920.750.970.781.040.750.880.750.940.831.030.700.940.710.590.540.940.731.080.710.820.741.020.790.890.630.940.690.92------
28.4723.1530.6314.8029.8124.3042.8018.4321.4418.8239.2020.6824.9818.7928.9218.2216.1631.4422.2446.0822.6921.6130.1423.0742.6523.1935.1919.9839.8617.8735.7713.1028.91------
3.163.892.946.083.023.702.104.884.204.782.304.353.604.793.114.945.572.864.051.953.974.162.993.902.113.882.564.502.265.042.526.873.11------
2.1311.969.0631.4412.8136.6979.64138-473.07-447.74-151.13-47.55-8.01-23.0040.5015.9227.8032.8638.38225-100.053.14-133.272.600.983.185.175.8916.374.008.366.121.66------
-15.04-66.18-25.00-23.44-5.37-12.10-13.80-3.60-0.78-6.52-12.00-8.54-1.93-5.8712.007.0010.9710.099.0336.1025.41-1.5660.63-2.69-1.75-5.31-7.65-7.42-17.61-3.00-5.72-3.56-0.86------
0.542.952.103.761.112.653.651.130.221.823.873.110.792.41-5.25-3.74-5.42-4.31-3.31-11.36-6.090.34-13.910.540.331.081.731.904.911.002.111.380.36------
1.287.165.159.703.026.448.992.960.514.409.298.362.277.35-15.08-16.07-20.44-14.6538.38225-14.300.76-31.271.080.461.492.382.627.021.523.092.030.53------
6.906.737.684.943.512.991.800.31-0.02-0.20-1.16-3.00-4.46-4.89-6.10-11.84-10.06-7.33-5.54-3.484.358.648.2519.0524.4824.0523.1621.8320.4917.1116.4015.00614------
4.303.682.511.494.403.922.480.555.214.672.490.516.033.772.24-0.43-3.80-2.22-1.940.333.732.012.690.487.635.624.820.648.766.265.200.807.684.244.220.160.000.000.00
3.123.032.211.333.223.181.980.344.164.302.340.455.593.592.13-0.48-4.22-2.55-2.240.131.650.481.780.024.844.054.190.394.363.703.950.293.441.292.41-0.61---