Korn/Ferry Financial Ratios for Analysis 2009-2024 | KFY

Fifteen years of historical annual and quarterly financial ratios and margins for Korn/Ferry (KFY).

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
2024202320222021202020192018201720162015201420132012201120102009
1.791.681.791.981.982.061.821.841.392.081.961.662.261.891.922.14
0.190.190.200.220.240.150.150.180.10-------
0.230.240.260.290.320.180.190.240.13-------
22.1224.2929.1624.1827.7627.3227.1826.4224.8727.8627.4726.8928.6327.9724.1327.23
7.6211.0517.788.568.907.1311.467.423.9110.709.205.1610.0211.05-0.450.55
7.6211.0517.788.568.907.1311.467.423.9110.709.205.1610.0211.05-0.450.55
10.4113.4320.1911.9611.709.4914.1310.336.6013.2811.837.4011.7212.681.462.26
7.9610.3316.388.997.636.8111.327.153.6211.239.955.639.7711.560.79-1.79
5.947.1612.076.145.255.157.275.142.278.297.303.926.577.580.88-1.49
0.760.800.760.600.720.850.800.790.710.810.810.760.810.800.730.91
----------------
4.814.504.253.724.544.574.394.304.005.345.404.995.975.795.288.86
75.9581.2085.9098.0280.4779.8183.0784.8391.2268.3167.5473.2261.1463.0169.0941.19
9.9312.8921.358.448.758.4311.148.033.0010.849.625.018.6310.181.08-2.20
23.3233.8745.0617.8021.5018.0031.4429.7914.0217.2316.219.5412.5515.821.80-3.27
4.695.969.553.783.904.495.944.231.666.705.892.995.356.060.64-1.36
8.0910.4017.016.556.617.159.506.592.7210.849.625.018.6310.181.08-2.20
33.4231.6329.1325.3422.4722.0321.5819.0918.2916.1215.1713.6313.1412.3010.6910.26
5.526.639.394.714.324.613.901.871.302.162.631.291.502.07-0.680.07
4.455.278.474.133.563.783.150.990.811.722.051.021.111.46-0.84-0.20

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
2.151.791.831.862.081.681.881.962.181.791.962.222.341.982.072.092.231.982.142.332.372.062.092.002.141.821.911.942.131.841.901.961.891.391.462.452.682.082.212.312.401.962.022.062.041.661.772.433.001.662.552.392.401.891.871.922.201.922.122.182.262.142.21
0.180.190.190.190.190.190.200.200.200.200.200.210.220.220.230.240.240.240.240.180.150.150.160.140.150.150.160.170.170.180.180.190.200.100.10----------------------------
0.230.230.230.240.230.240.250.250.250.260.260.270.280.290.300.320.320.320.310.220.180.180.180.190.200.190.200.220.220.240.240.250.260.130.14----------------------------
22.7924.0220.1924.0920.1221.4220.8927.4327.3529.8529.6728.5228.4227.4426.9925.6613.2130.6125.7427.0928.0027.5827.8927.5726.2028.2426.1727.0727.1627.9326.1127.1024.3922.0923.4727.7227.8627.2829.3926.9527.8927.1928.2526.6227.8526.9425.7527.2827.6525.8628.7030.0429.8628.4528.4727.1327.7725.5426.4323.8919.5623.8827.32
11.1411.937.373.208.049.831.8216.2615.8719.0918.4416.1317.2215.4713.6311.00-12.634.955.9812.2712.1612.3912.8914.01-11.5213.1510.8211.5210.119.227.7511.221.151.16-3.929.9611.789.9612.7213.007.149.3910.889.417.016.454.141.358.687.408.3112.1012.0912.7510.5610.2410.527.704.171.51-20.24-26.44-7.79
11.1411.937.373.208.049.831.8216.2615.8719.0918.4416.1317.2215.4713.6311.00-12.634.955.9812.2712.1612.3912.8914.01-11.5213.1510.8211.5210.119.227.7511.221.151.16-3.929.9611.789.9612.7213.007.149.3910.889.417.016.454.141.358.687.408.3112.1012.0912.7510.5610.2410.527.704.171.51-20.24-26.44-7.79
---------------------------------------------------------------
12.6912.2710.160.339.299.112.9514.0714.9016.2516.3515.9317.0516.0515.239.36-11.390.975.6311.6611.7113.1412.5212.26-11.4411.9811.6411.4810.038.358.2010.351.452.86-6.008.8611.6511.3912.2613.557.6710.0610.9810.927.727.235.541.737.858.488.9710.6710.8814.2211.3511.099.268.884.762.32-17.57-25.51-18.91
9.029.198.58-0.266.456.281.609.7810.7512.3312.0211.5212.4011.6510.456.35-8.93-0.183.748.408.579.809.259.08-8.088.145.917.987.006.236.067.270.821.34-4.466.178.269.038.869.605.588.138.497.624.815.114.510.585.315.806.027.217.189.887.207.075.955.045.171.87-11.58-15.03-15.47
0.200.190.190.210.210.210.200.230.220.210.210.210.200.180.170.160.130.160.190.200.210.220.220.240.230.210.210.220.210.200.200.210.200.220.190.230.230.210.210.220.220.210.220.220.230.210.200.210.210.190.200.220.240.210.210.220.230.210.200.190.170.150.20
---------------------------------------------------------------
1.101.201.041.081.091.160.991.021.051.171.061.001.081.140.970.900.831.031.031.011.071.161.081.101.101.181.091.041.011.111.071.081.061.240.991.161.331.411.241.171.241.421.251.201.261.401.131.221.321.221.271.401.371.541.301.261.341.561.331.341.301.501.38
82.0774.8086.7983.1682.9377.6890.9187.8986.0477.0284.7690.3283.7278.9292.9610010887.3887.0989.0384.0377.3083.5582.1581.7676.3182.7886.4988.8780.8483.7883.3484.9072.6191.0977.6667.4663.6472.6176.8572.7963.5871.7275.2671.4564.2979.5273.4968.4273.9171.0664.4665.8558.6169.2171.5167.3057.7567.4367.1769.4060.0265.06
3.653.783.500.002.792.910.734.715.006.015.545.145.384.883.982.30-2.53-0.051.643.423.454.073.764.02-3.313.472.323.242.612.552.282.950.390.61-1.552.142.813.132.913.231.892.812.952.671.691.841.440.191.651.811.902.492.583.522.572.632.201.811.640.58-3.09-3.75-4.79
8.378.878.500.017.007.651.6110.6910.3012.6711.409.8410.8010.289.025.64-6.28-0.123.847.137.208.708.409.33-7.889.797.0810.718.889.479.1712.791.852.84-7.383.304.394.974.585.193.124.735.134.803.153.502.810.292.373.452.783.713.925.474.084.303.643.042.780.95-5.05-5.57-7.04
1.861.781.680.001.421.350.352.292.452.692.552.452.602.181.801.04-1.18-0.020.761.731.812.172.052.22-1.861.851.271.781.461.341.221.590.210.34-0.851.411.891.931.862.101.241.721.851.701.091.090.890.121.121.081.231.621.692.091.541.581.361.081.030.36-1.93-2.32-3.04
2.983.072.840.002.262.350.593.773.994.784.414.064.213.793.051.74-1.91-0.041.252.812.933.453.183.44-2.822.961.962.702.162.101.862.390.320.55-1.392.142.813.132.913.231.892.812.952.671.691.841.440.191.651.811.902.492.583.522.572.632.201.811.640.58-3.09-3.75-4.79
33.7333.4232.6231.5332.1131.6330.7129.9129.3729.1328.3227.2426.0725.3423.9822.5622.2022.4723.1222.7522.3422.0321.3920.8220.4521.5820.8920.0819.7219.0918.6318.3017.9018.2918.0016.3716.0516.1215.6315.6215.2915.1714.5414.2413.7113.6313.5413.2213.0313.6312.9012.7612.5112.3011.6011.1910.6610.6910.4610.3710.1310.2610.44
-4.315.520.43-2.76-5.376.631.80-1.90-4.459.394.14-0.79-3.014.711.02-1.72-2.714.321.05-1.90-2.914.611.81-0.57-2.123.901.06-1.00-1.941.870.24-1.55-2.401.30-0.32-1.46-1.802.160.36-1.05-1.822.630.67-0.73-1.391.29-0.05-0.91-1.561.500.08-0.75-1.752.070.57-0.17-0.89-0.68-1.54-1.52-1.520.07-0.81
-4.514.45-0.41-3.38-5.685.270.75-2.61-4.778.473.53-1.15-3.184.130.59-2.01-2.873.560.43-2.34-3.103.781.15-1.01-2.363.150.51-1.38-2.110.99-0.49-2.12-2.670.81-0.65-1.67-1.911.720.05-1.27-1.952.050.32-0.96-1.491.02-0.24-1.04-1.631.11-0.20-0.93-1.861.460.09-0.54-1.15-0.84-1.64-1.58-1.54-0.20-1.04