Kadant Inc Financial Ratios for Analysis 2009-2024 | KAI

Fifteen years of historical annual and quarterly financial ratios and margins for Kadant Inc (KAI).

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
202320222021202020192018201720162015201420132012201120102009
2.051.951.732.152.041.962.012.332.122.112.072.331.821.932.04
0.120.230.320.320.410.320.420.190.090.090.120.020.050.080.10
0.140.310.480.470.700.470.730.230.120.100.140.030.050.110.12
43.4743.0642.8943.6741.6943.9144.8845.5346.1744.3645.7843.9543.2943.8640.26
17.3118.9314.8412.7712.4613.9811.9711.2612.8510.479.6710.9911.549.24-0.21
17.3118.9314.8412.7712.4613.9811.9711.2612.8510.479.6710.9911.549.24-0.21
20.7922.8719.3018.0017.3917.7015.7314.7215.6213.2512.5013.5113.9111.923.09
16.6018.3114.2511.609.7812.5511.1910.7612.6610.329.5910.8311.378.83-1.00
12.1213.3710.688.697.399.536.047.758.827.136.809.5310.016.85-2.63
0.810.790.690.680.750.870.680.880.940.970.780.920.940.800.73
3.553.153.343.354.004.123.344.113.704.052.974.423.773.643.60
7.156.946.716.946.475.855.606.005.506.294.665.345.355.325.67
51.0452.5754.3952.6256.4162.4165.2060.8466.3458.0478.3568.3968.2668.6364.41
15.0518.5715.0111.2212.3116.309.5011.4212.9210.958.7712.4315.149.00-3.07
51.94129-277.26-352.49-63.452,001-46.0840.5331.2232.0826.1526.8138.2122.60-8.71
9.9410.597.506.015.608.414.156.908.337.035.368.669.455.54-1.93
13.2114.2710.237.657.2511.135.509.2711.7710.007.6912.1314.388.31-2.74
66.3056.1648.6743.0537.4333.7130.2025.9924.8724.4324.3622.4619.2116.9215.64
14.118.7813.948.038.505.535.764.573.644.563.532.512.802.283.50
11.546.5512.997.397.674.094.244.093.153.983.292.212.342.243.28

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.292.252.052.052.042.041.991.951.881.851.801.731.892.522.112.152.221.942.212.042.032.092.071.961.881.872.102.012.352.292.452.332.252.062.912.122.062.142.242.112.002.072.152.072.322.222.382.332.241.941.891.821.811.892.031.932.072.152.032.042.022.042.43
0.270.290.280.120.150.180.210.230.250.270.290.320.360.340.300.320.360.370.410.410.440.460.480.320.350.380.410.420.460.170.190.190.180.180.190.090.080.080.100.090.080.090.130.120.050.050.020.020.040.030.030.050.070.070.070.080.100.100.100.100.100.120.22
0.380.420.390.140.180.220.270.310.340.380.410.480.580.520.440.470.560.640.700.700.780.870.940.470.540.610.700.730.840.210.240.230.220.230.260.120.110.110.120.100.090.100.160.140.050.060.030.030.050.050.050.050.080.080.080.110.110.120.120.120.120.150.29
44.7144.3644.5742.7343.3043.4844.4143.0642.4743.3343.3642.3941.8943.5743.9044.0644.1943.4742.9440.8642.7941.9841.1643.2844.1044.0044.2943.3342.3247.9447.6646.1145.5644.9445.5543.1247.5046.5148.0644.6744.6843.0045.1843.8943.9448.6147.2842.9643.4143.7445.6238.5742.6945.7347.5642.4344.0545.0843.9741.3040.8441.4637.93
18.0417.6214.8316.3517.8317.5817.4616.7817.3216.9024.7114.4414.3816.8613.5813.0713.8011.8512.3511.8014.1513.0610.8415.1416.5212.7411.1712.1012.8810.5811.9111.7211.9010.9510.4613.4113.7912.8611.2411.6710.2811.488.168.0110.8510.259.678.6211.4511.3512.359.4012.8112.7111.599.169.4110.567.66-0.521.51-2.390.32
18.0417.6214.8316.3517.8317.5817.4616.7817.3216.9024.7114.4414.3816.8613.5813.0713.8011.8512.3511.8014.1513.0610.8415.1416.5212.7411.1712.1012.8810.5811.9111.7211.9010.9510.4613.4113.7912.8611.2411.6710.2811.488.168.0110.8510.259.678.6211.4511.3512.359.4012.8112.7111.599.169.4110.567.66-0.521.51-2.390.32
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16.1515.8613.1915.9317.1416.7816.5515.9616.6716.4024.2013.8613.7316.3312.9612.2312.7310.6010.827.0812.3511.028.7713.1015.3411.479.9711.0211.9610.1211.4710.3711.6710.7010.2313.2213.5912.6711.0511.5310.1111.328.077.9610.7610.159.608.4611.2711.2012.229.3012.6512.5011.378.869.0210.127.14-1.120.72-3.22-0.61
11.6311.399.9211.4812.6412.1312.2211.2412.2411.8118.1911.0610.2411.689.609.629.617.597.874.799.299.206.3611.2411.337.977.280.518.697.348.707.718.687.437.129.659.408.617.488.656.737.505.416.257.067.016.9312.269.777.888.3912.2010.258.868.087.076.767.555.91-3.03-0.22-2.38-4.45
0.180.190.180.200.210.210.200.200.200.200.200.190.180.190.180.180.170.170.180.190.190.180.180.230.220.210.190.200.190.210.210.210.220.230.210.260.220.240.230.250.240.250.210.210.230.210.210.220.240.240.230.270.230.220.210.220.210.230.200.180.170.160.20
0.890.880.800.900.840.790.710.810.820.800.890.940.860.970.860.880.790.790.881.050.920.940.981.081.010.900.871.000.970.910.900.980.980.970.901.080.710.820.791.050.950.990.830.851.010.780.951.061.130.950.881.180.830.730.731.010.870.930.850.890.810.700.88
1.751.841.661.781.741.811.751.781.751.781.801.861.561.731.561.841.501.531.541.681.501.481.411.511.581.711.591.621.511.461.351.451.501.561.501.521.421.581.441.651.361.491.321.281.411.281.241.261.281.221.231.551.521.511.371.441.531.761.491.431.401.081.38
51.3549.0354.0750.5051.6349.8151.4250.5251.4150.6450.0448.2757.8552.0657.7148.9160.1058.7858.4453.6660.0260.9263.6359.4956.8252.5256.6555.5259.4461.5766.6661.9860.2057.6859.9959.3063.2856.9262.6954.7066.1160.5968.3270.1963.9870.2372.3871.6770.1073.5373.2658.2359.2459.4565.6262.3858.9351.2360.2163.1264.4683.4265.22
3.703.863.143.554.234.204.134.004.544.366.914.313.814.343.333.303.242.662.982.083.984.092.904.965.293.663.190.274.052.633.072.753.193.002.523.893.313.212.683.452.512.951.912.222.462.302.143.863.182.883.054.794.473.232.682.492.252.721.88-0.89-0.07-0.63-1.55
41.1762.3340.9512.2616.4619.0922.6027.7444.0468.17321-79.57-34.0278.666,221-103.59-33.21-18.05-17.24-10.72-15.11-13.01-7.56609-82.92-29.71-20.41-1.32-19.388.1310.119.7512.3412.955.949.418.558.487.4010.107.128.825.666.644.214.003.718.325.705.315.6512.088.696.224.966.254.385.193.69-2.53-0.15-1.27-3.13
2.142.171.772.342.692.582.422.282.502.353.622.151.832.241.801.771.641.281.390.951.731.701.152.562.561.691.430.121.701.591.851.661.911.761.532.512.062.051.702.211.611.891.171.361.631.501.482.692.131.881.972.992.742.001.681.531.421.721.17-0.56-0.05-0.40-0.87
2.692.722.273.123.613.463.283.073.383.184.922.942.432.872.322.252.081.671.771.232.252.201.493.383.452.281.880.162.202.182.482.232.622.462.033.553.042.962.403.152.322.681.651.952.332.182.093.773.032.802.974.554.153.012.492.302.032.431.68-0.80-0.07-0.56-1.21
73.4669.6867.6266.3062.6960.9158.4756.1652.2651.9851.4448.6746.9045.8743.5643.0540.1638.3036.9937.4336.1035.5934.1933.7132.2730.7931.1330.2030.0628.2926.8425.9926.5025.8125.5824.8724.3924.3923.5524.4324.6424.8024.3424.3623.7522.7922.4122.4621.4220.1620.0419.2118.5818.5017.8116.9216.6615.6315.6315.6415.9315.7015.08
8.784.331.9414.119.065.063.158.785.773.642.0413.948.695.451.648.034.542.440.548.505.072.840.875.534.603.120.645.762.852.250.154.573.101.720.503.642.531.08-0.204.562.731.350.553.532.681.580.612.511.430.32-0.352.801.600.580.032.281.160.67-0.043.502.591.521.10
7.583.481.5211.547.223.942.776.554.562.971.9312.998.045.081.457.394.082.130.307.674.572.510.704.093.492.240.184.242.091.950.004.092.821.600.493.152.160.85-0.313.982.471.240.513.292.611.640.532.211.330.27-0.362.341.340.26-0.062.241.220.62-0.033.282.401.351.01