KB Home Financial Ratios for Analysis 2009-2024 | KBH

Fifteen years of historical annual and quarterly financial ratios and margins for KB Home (KBH).

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
2.202.071.921.801.681.491.361.241.221.181.111.074.764.043.47
------------0.780.740.72
0.440.500.560.660.730.991.211.531.541.614.014.573.582.812.57
21.5324.4921.9319.1918.5317.6616.5315.4016.2517.3017.1714.6212.0517.724.11
11.6715.3111.817.947.467.896.644.574.945.304.97-0.55-7.05-0.49-12.50
11.6715.3111.817.947.467.896.644.574.945.304.97-0.55-7.05-0.49-12.50
12.2915.8212.368.678.158.096.854.885.305.705.31-0.25-6.73-0.15-12.13
12.0315.5312.158.707.658.096.644.154.193.951.83-5.07-13.77-4.80-17.05
9.1411.779.827.055.873.734.112.922.7838.141.90-3.78-13.59-4.36-5.58
0.961.040.980.780.910.900.870.700.600.500.660.610.520.510.53
0.980.940.930.871.001.051.120.890.770.620.760.780.670.771.17
17.4721.3918.8215.3418.2815.5317.8915.5212.2319.1327.6924.0719.8814.725.40
20.8917.0619.3923.7919.9723.5120.4023.5229.8519.0813.1815.1718.3624.8067.59
15.4922.3118.7011.1111.288.169.386.135.0157.547.45-15.65-40.39-10.98-14.39
15.4922.3118.7011.1111.288.169.386.135.0157.547.45-15.65-40.39-10.98-14.39
8.8812.289.685.535.363.363.582.061.6619.301.25-2.30-7.12-2.23-2.96
15.4922.3118.7011.1111.288.169.386.135.0157.547.45-15.65-8.82-2.88-4.03
50.2243.5934.2329.0926.6024.0222.1320.2518.3217.366.404.885.748.219.20
12.992.05-0.403.302.682.195.221.961.76-6.35-4.840.45-4.51-1.744.56
12.561.55-0.823.002.312.125.141.911.72-6.41-4.870.43-3.47-1.754.55

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
2024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
2.262.242.202.232.222.152.071.941.861.891.921.821.891.851.801.791.761.711.681.591.561.481.491.461.391.371.361.301.281.261.241.221.211.201.221.191.171.171.186.586.705.851.111.115.405.791.075.225.005.234.763.671.124.014.043.823.543.673.473.253.062.95
---------------------------------------0.780.780.80--0.810.81-0.820.810.800.780.79-0.770.740.750.740.740.720.750.710.69
0.420.440.440.440.450.480.500.580.630.620.560.660.610.640.660.680.710.720.730.820.841.040.991.021.231.271.211.361.421.441.531.591.611.641.541.601.741.761.613.473.633.984.013.894.134.154.574.644.284.033.583.673.813.312.812.942.852.802.572.952.512.26
21.5121.8921.1221.8421.4621.7822.7426.8025.4822.6422.8921.7721.7121.0120.3320.0718.5517.6519.7718.7017.4317.3318.3118.2717.2716.3118.2716.5215.5814.7214.1716.7315.0816.1517.4915.8915.8215.1214.6418.4919.1918.0618.4518.6915.5215.2914.2517.2316.458.939.7317.537.8613.2819.4917.8017.9714.181.049.571.995.34
11.4911.1611.3411.7511.8711.7214.7317.7515.6812.4513.1611.5911.6410.3210.069.296.055.9210.337.705.414.199.388.906.995.339.286.985.213.374.985.983.523.197.514.623.212.874.306.126.534.478.237.132.160.713.353.25-4.39-11.191.031.15-20.51-23.477.132.11-4.22-13.17-11.62-8.73-16.89-14.57
11.4911.1611.3411.7511.8711.7214.7317.7515.6812.4513.1611.5911.6410.3210.069.296.055.9210.337.705.414.199.388.906.995.339.286.985.213.374.985.983.523.197.514.623.212.874.306.126.534.478.237.132.160.713.353.25-4.39-11.191.031.15-20.51-23.477.132.11-4.22-13.17-11.62-8.73-16.89-14.57
--------------------------------------------------------------
12.9311.9011.9212.2612.1811.7214.6917.6816.4512.7313.3711.8712.0510.8210.5610.147.426.4010.587.925.564.259.569.367.115.289.796.925.182.624.625.853.062.367.094.032.031.813.594.864.772.394.584.84-0.80-3.050.42-1.75-9.46-17.842.38-2.63-25.32-57.953.42-1.34-8.18-20.65-13.49-16.81-21.74-19.38
9.789.388.919.389.259.0011.0013.7712.259.6010.3510.189.908.468.847.815.665.527.865.834.623.677.147.105.20-8.185.974.363.151.733.134.291.911.934.452.751.531.341074.804.702.344.544.95-0.57-3.071.340.77-7.97-17.992.90-2.63-25.21-58.153.87-0.28-8.21-20.7214.93-14.41-20.39-18.89
0.250.220.250.240.270.210.290.270.260.230.290.250.260.210.220.190.180.210.310.230.210.160.270.250.220.180.280.220.200.170.230.180.170.140.190.170.120.120.170.150.150.140.190.190.180.140.230.170.130.110.190.140.100.070.150.160.120.080.200.140.110.08
0.250.220.260.240.270.200.270.240.230.210.270.250.260.220.240.220.210.240.340.240.220.180.310.270.260.210.350.270.240.200.300.210.200.160.250.210.150.150.210.150.150.140.220.200.220.180.290.200.150.130.250.160.130.100.210.240.180.140.440.220.200.14
4.604.144.564.885.183.976.015.355.464.475.514.975.324.584.383.702.923.626.263.983.412.594.614.384.003.485.754.994.273.435.156.125.374.463.985.284.114.046.345.025.665.168.177.597.936.178.924.484.093.517.254.643.861.894.173.652.732.092.003.332.661.91
19.5621.7519.7218.4317.3922.6614.9716.8116.4820.1516.3418.1016.9319.6520.5524.2930.8124.8614.3822.6026.4034.7819.5420.5422.5225.8615.6618.0221.0726.2117.4914.7016.7620.1822.6417.0321.9022.2914.1917.9415.8917.4411.0211.8611.3514.5810.0920.1122.0025.6112.4119.4023.3047.7321.5624.6732.9743.0645.0927.0633.8447.15
4.223.573.943.914.373.405.917.316.404.285.775.284.973.533.983.062.092.455.173.012.161.414.644.342.99-3.854.382.731.790.822.182.340.950.812.601.420.590.4953.443.813.751.935.245.48-0.63-2.632.050.88-6.53-11.633.14-2.23-15.45-22.262.76-0.23-4.99-8.4514.24-10.77-11.47-7.56
4.223.573.943.914.373.405.917.316.404.285.775.284.973.533.983.062.092.455.173.012.161.414.644.342.99-3.854.382.731.790.822.182.340.950.812.601.420.590.4953.443.813.751.935.245.48-0.63-2.632.050.88-6.53-11.633.14-2.23-15.45-22.262.76-0.23-4.99-8.4514.24-10.77-11.47-7.56
2.472.072.262.282.541.933.253.793.202.172.992.612.551.791.981.511.031.182.461.350.960.581.911.761.12-1.441.670.980.640.290.730.780.320.270.870.470.190.1617.930.730.700.330.880.92-0.10-0.430.300.13-1.01-1.900.55-0.35-2.40-3.950.56-0.04-0.96-1.672.93-1.95-2.29-1.60
4.223.573.943.914.373.405.917.316.404.285.775.284.973.533.983.062.092.455.173.012.161.414.644.342.99-3.854.382.731.790.822.182.340.950.812.601.420.590.4953.440.850.810.395.245.48-0.12-0.512.050.16-1.24-2.310.69-0.48-15.45-5.170.72-0.06-1.30-2.223.98-2.72-3.27-2.32
53.0851.1550.2248.2946.7244.8043.5940.7937.7635.3734.2332.4931.3329.8629.0929.0227.5127.0126.6025.5924.8824.4324.0222.8121.8321.1722.1321.2820.7220.3620.2519.8519.4119.2218.3217.8117.5617.4517.368.117.736.526.405.955.625.664.884.834.795.115.745.605.766.698.217.978.008.439.208.048.9510.07
1.160.3612.999.347.221.092.05-2.52-3.49-2.76-0.40-1.93-0.19-0.843.303.501.66-0.102.68-1.64-1.95-2.042.19-0.49-0.19-1.635.221.04-0.66-0.801.96-1.08-1.77-1.441.76-0.22-1.34-0.48-6.35-7.02-5.57-2.35-4.84-4.27-3.20-2.660.45-0.98-1.17-1.42-4.51-4.02-3.52-2.14-1.74-2.13-1.470.244.561.481.091.34
0.900.2412.569.027.000.991.55-2.90-3.73-2.87-0.82-2.24-0.38-0.933.003.271.49-0.182.31-1.92-2.13-2.092.12-0.53-0.23-1.655.140.98-0.70-0.811.91-1.11-1.80-1.461.72-0.24-1.35-0.49-6.41-7.06-5.60-2.37-4.87-4.28-3.21-2.660.43-0.99-1.17-1.43-3.47-2.98-2.48-1.10-1.75-2.14-1.470.244.551.471.081.33