Kforce Financial Ratios for Analysis 2009-2024 | KFRC

Fifteen years of historical annual and quarterly financial ratios and margins for Kforce (KFRC).

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
2.372.112.323.132.892.752.932.622.442.382.261.742.241.651.73
0.210.120.350.360.280.300.470.490.380.400.290.120.180.010.02
0.260.140.530.560.390.430.890.950.600.670.410.130.220.050.02
27.8829.2928.9228.3529.3229.6429.9630.9531.3930.7732.0731.8831.6232.0131.42
5.696.836.755.745.555.554.794.475.634.051.12-6.493.102.272.53
5.696.836.755.745.555.554.794.475.634.051.12-6.493.102.272.53
6.017.097.036.126.036.195.475.146.374.883.401.474.383.713.93
5.575.996.285.385.305.214.384.245.433.941.02-6.602.982.132.41
3.994.414.764.019.714.452.662.483.257.471.00-1.362.702.331.41
4.284.363.142.923.543.433.263.613.753.353.093.092.452.272.68
---------------
6.566.355.896.126.186.195.386.396.615.855.756.565.745.757.38
55.6257.5061.9959.6559.0458.9467.8357.1255.1962.3763.5155.6663.5863.4749.48
38.3941.4039.9031.1432.6230.2222.0426.9230.6721.093.37-24.818.174.735.68
45.5648.0046.0236.1838.3735.5134.8145.4447.8933.255.12-41.8421.5611.1116.35
17.0619.2414.9311.7014.3213.397.708.9712.178.081.52-12.964.653.073.79
30.4336.3026.0720.0223.4921.1911.6813.8119.1612.602.39-21.946.704.695.56
8.158.898.768.127.306.475.104.544.914.744.664.926.156.085.80
4.694.433.445.102.803.471.151.522.51-0.810.011.560.800.711.09
4.294.034.254.977.523.310.961.042.21-0.99-0.241.480.55-0.230.99

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
2.062.332.322.372.162.492.192.111.821.722.212.322.441.632.813.132.652.762.952.892.873.342.432.752.662.773.062.932.952.982.932.622.492.412.532.442.142.322.452.381.662.322.282.262.001.991.941.742.102.091.732.242.031.661.581.651.842.012.051.731.681.751.96
0.140.180.200.210.110.120.110.12--0.340.350.34-0.360.360.370.400.390.280.260.230.320.300.330.410.480.470.480.490.520.490.450.430.470.380.360.410.410.400.070.360.280.290.250.240.200.120.010.050.010.180.210.010.010.010.080.140.080.020.060.110.18
0.160.220.250.260.120.130.120.14--0.500.530.530.540.570.560.590.660.650.390.350.310.470.430.490.680.930.890.910.941.080.950.810.760.880.600.570.680.690.670.080.560.390.410.340.320.240.130.010.060.010.220.270.080.110.050.090.170.090.020.070.120.22
27.9027.7827.0727.3427.7328.3328.0728.4728.9530.0329.7129.2429.6129.4727.1728.3828.4328.3828.2029.1529.7529.8128.5229.5729.4130.4129.1529.4530.6030.5429.0830.5731.3231.7230.1631.5932.1531.4330.3130.8631.3231.1829.6231.5632.5232.7331.3731.7532.8632.7530.1231.7232.3732.0830.2234.8832.1631.8530.0731.0931.6831.7031.22
5.305.534.475.994.306.665.765.717.167.756.656.047.278.215.366.837.314.504.155.796.416.343.585.706.116.563.784.165.975.693.124.784.615.542.926.346.766.053.204.634.324.492.64-7.484.734.191.98-0.545.82-18.18-11.243.233.933.221.93-2.644.203.671.872.791.912.942.49
5.305.534.475.984.306.665.765.717.167.756.656.047.278.215.366.837.314.504.155.796.416.343.585.706.116.563.784.165.975.693.124.784.615.542.926.346.766.053.204.634.324.492.64-7.484.734.191.98-0.545.82-18.18-11.243.233.933.221.93-2.644.203.671.872.791.912.942.49
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5.185.394.285.894.256.585.512.196.958.376.315.676.917.445.006.477.054.083.745.436.166.223.305.445.796.183.353.665.575.292.764.534.385.292.716.136.625.763.054.514.254.342.52-7.604.594.121.88-0.605.72-18.27-11.393.103.823.091.80-2.774.053.561.702.681.792.822.34
4.023.973.124.322.834.773.991.695.096.174.605.015.015.253.655.165.132.882.724.234.3222.098.224.954.954.942.892.582.963.271.772.832.683.241.133.633.973.441.852.8120.723.542.22-3.373.212.451.163.173.43-12.101.522.733.242.742.054.112.482.091.191.571.001.731.37
0.960.980.961.021.011.061.051.071.060.990.790.820.770.780.740.740.760.780.830.880.840.800.770.870.830.840.820.620.840.870.860.890.910.910.890.930.920.910.870.880.880.830.800.700.770.820.780.590.770.740.660.630.620.610.590.390.660.640.630.660.660.660.66
---------------------------------------------------------------
1.541.541.491.561.501.551.521.561.561.531.481.531.491.511.491.551.591.421.421.541.521.501.481.571.371.371.331.021.391.501.461.581.601.551.531.641.561.551.531.531.551.471.461.311.501.671.591.261.601.531.521.481.401.461.431.001.661.691.591.821.741.761.76
58.4058.2760.6057.8059.8957.9459.0857.8057.8258.9160.7258.8560.3259.5260.5158.0656.6563.6063.2558.3359.3960.0360.7757.3665.5765.5567.6587.9964.8560.0761.5857.0256.2258.1958.8054.7857.5257.9758.7958.7458.0661.0861.6368.7859.8353.9056.4771.5556.3858.9459.1960.7464.4461.5262.7389.9154.3453.1856.7849.4451.6551.0451.12
8.498.506.689.885.919.908.733.8810.6512.789.6810.9110.6211.377.5110.1611.026.485.948.738.467.484.478.068.6310.095.941.827.108.254.717.596.998.283.008.529.538.394.236.504.565.362.72-7.884.654.331.85-0.294.28-15.34-7.092.182.791.881.11-0.912.602.151.161.561.031.821.51
9.9810.007.8811.726.8711.4210.094.5012.1014.5111.0812.5912.2313.148.7511.8012.937.767.0910.279.778.475.199.4612.3214.999.362.8810.8713.017.8012.8111.3813.365.1013.3114.7813.236.7210.256.318.394.08-11.987.987.583.14-0.496.46-23.22-15.985.757.744.302.59-2.136.355.563.184.493.135.965.32
3.843.903.004.392.865.054.211.805.396.093.624.083.864.092.693.823.922.252.253.833.893.771.883.573.613.852.050.642.492.861.522.532.452.941.013.383.643.111.612.492.252.171.25-3.562.112.010.91-0.152.63-8.98-4.331.241.501.200.70-0.591.641.330.751.040.661.140.91
7.316.965.357.835.288.757.793.4010.6512.786.437.136.9611.374.796.536.943.923.596.296.285.733.045.655.786.003.070.973.724.252.263.893.864.711.605.336.064.992.503.884.243.441.96-5.603.483.281.48-0.264.26-14.52-7.061.792.201.871.10-0.902.391.841.071.530.961.621.24
8.718.608.448.159.069.339.148.8910.039.929.288.768.868.598.088.127.756.956.907.308.038.746.976.476.295.765.165.105.355.064.684.544.764.724.384.914.914.734.634.745.594.494.764.664.954.794.864.926.035.896.806.155.966.065.906.086.266.065.895.805.695.605.34
3.461.810.704.693.542.060.974.433.823.421.873.442.841.721.055.104.431.850.142.801.990.910.473.472.551.520.411.150.220.22-0.411.521.130.610.122.511.960.920.40-0.810.120.370.180.010.11-0.04-0.241.560.770.210.070.800.360.27-0.090.710.32-0.07-0.401.090.800.43-0.09
3.011.540.604.293.231.810.874.033.593.251.764.253.732.700.994.974.351.840.057.526.945.760.413.312.431.400.350.960.010.05-0.501.040.770.480.082.211.680.790.35-0.99-0.030.280.15-0.24-0.09-0.17-0.301.480.650.120.040.550.250.20-0.13-0.23-0.54-0.87-0.440.990.730.38-0.10