Kennametal Financial Ratios for Analysis 2009-2024 | KMT

Fifteen years of historical annual and quarterly financial ratios and margins for Kennametal (KMT).

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
2.412.372.112.301.602.581.742.412.522.612.713.212.221.532.332.31
0.320.310.320.300.320.300.320.400.410.350.330.280.230.000.190.26
0.460.450.480.440.860.430.810.660.700.550.540.410.340.190.250.38
30.6431.1132.2030.0028.0835.0134.6431.3329.3630.4531.6232.6336.3436.8033.3228.83
8.329.2610.845.551.1813.8512.264.60-8.34-13.529.2911.4515.2213.384.95-4.99
8.329.2610.845.551.1813.8512.264.60-8.34-13.529.2911.4515.2213.384.95-4.99
14.9015.7117.3812.427.5418.5616.859.83-2.74-8.5413.8715.8119.0217.2710.07-0.17
7.067.6810.273.510.1013.1011.623.98-9.46-14.648.0610.3014.2512.324.07-5.63
5.345.707.192.96-0.3010.198.452.39-10.77-14.125.587.8511.239.562.46-5.99
0.820.820.780.690.620.890.810.850.890.930.730.780.900.870.830.85
2.762.572.392.712.602.702.952.903.233.202.763.012.972.923.453.73
6.766.766.816.087.926.255.905.415.665.945.345.815.715.375.777.17
54.0053.9753.5760.0546.0758.3761.8667.4664.5261.4168.3862.7763.8968.0163.2950.92
8.829.3911.634.27-0.4018.0316.674.94-22.48-26.978.2711.4218.6314.003.72-7.99
12.1512.9716.306.02-0.5827.1327.279.27-45.68-55.2525.2323.8444.0723.347.21-17.17
4.544.845.842.19-0.179.337.012.15-9.48-13.024.196.2710.248.432.19-4.32
6.036.467.972.98-0.2712.6011.262.97-13.25-17.575.518.2214.4013.993.01-5.94
16.5416.4615.8816.3615.4216.6815.0713.0512.5017.3324.9323.2820.8320.4416.2817.31
3.473.172.162.792.693.613.352.412.794.433.413.523.562.772.022.63
2.192.071.021.34-0.211.191.461.011.483.361.952.532.381.891.391.24

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.412.422.442.412.372.212.122.032.112.272.392.482.302.272.362.251.602.522.532.542.582.702.722.551.742.602.772.712.412.442.492.462.522.612.692.672.612.562.602.722.712.612.743.523.213.573.742.652.221.581.641.561.532.652.772.562.332.372.442.292.312.25
0.320.310.310.310.310.310.320.320.320.300.300.300.300.310.310.320.320.310.310.310.300.300.310.320.320.360.370.390.400.410.430.420.410.370.380.350.350.360.360.320.330.350.350.270.280.290.290.240.230.150.000.000.000.170.170.180.190.190.190.190.260.27
0.460.470.470.480.450.500.520.550.480.460.450.430.440.460.480.510.860.460.440.450.430.430.450.470.810.570.600.630.660.710.750.720.700.600.610.560.550.640.630.520.540.590.600.380.410.430.410.350.340.370.190.200.190.200.210.220.250.240.240.260.380.40
31.5429.7128.1833.0831.9331.3328.7432.3332.0132.1431.4333.2534.0530.9927.5926.2526.7732.5026.1426.8335.3934.8433.8135.9835.9535.6033.1733.5429.6435.2430.2830.0831.9831.6126.8727.2329.6331.2229.5231.3832.7431.6430.0031.9834.0631.8131.5033.1035.8335.3936.1338.1038.2937.4135.3535.6737.0434.5431.6328.7725.6024.14
11.306.835.759.1610.169.797.149.8111.8210.429.7611.2911.788.154.32-4.294.127.84-9.433.1614.0713.7113.4314.1714.4913.3011.149.623.9010.964.93-1.934.815.49-44.651.195.54-18.84-49.408.7810.1110.177.219.4913.4911.4410.5010.2315.8914.8314.6615.4216.5414.2810.8910.8711.325.333.49-2.33-6.39-35.36
11.306.835.759.1610.169.797.149.8111.8210.429.7611.2911.788.154.32-4.294.127.84-9.433.1614.0713.7113.4314.1714.4913.3011.149.623.9010.964.93-1.934.815.49-44.651.195.54-18.84-49.408.7810.1110.177.219.4913.4911.4410.5010.2315.8914.8314.6615.4216.5414.2810.8910.8711.325.333.49-2.33-6.39-35.36
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10.165.534.517.808.568.165.618.2611.2010.049.0810.7010.184.393.31-5.932.596.71-10.192.1613.2313.1912.7313.2613.7612.7110.449.085.869.263.31-3.423.984.45-45.80-0.264.62-20.00-50.917.868.859.075.928.2512.1710.189.299.4314.6913.7514.0314.5015.8013.119.959.3810.564.312.57-3.16-6.62-35.68
6.843.684.676.106.625.964.415.707.876.896.467.496.804.464.40-5.41-2.400.60-1.181.2510.2611.489.319.6610.618.377.287.224.367.361.49-4.54-12.763.21-32.29-1.123.32-7.23-57.475.685.896.733.516.109.068.236.667.3711.6410.8411.4810.9312.4910.527.686.607.531.961.35-2.40-8.55-32.49
0.220.200.190.200.220.210.190.200.210.190.190.190.190.190.170.160.120.190.190.200.230.230.230.230.220.230.230.230.230.230.220.210.220.200.210.200.220.210.210.190.200.190.180.190.200.210.200.210.240.220.240.250.250.240.240.220.240.210.190.170.160.18
0.720.660.620.580.670.620.580.570.630.620.630.640.710.700.640.580.530.630.710.680.680.660.670.660.790.730.750.700.820.700.760.730.770.700.800.740.780.690.720.670.740.700.660.670.760.780.700.670.810.710.720.730.820.830.860.810.930.870.800.780.750.76
1.791.701.701.711.791.711.711.781.791.641.791.731.701.601.601.601.591.591.631.581.591.481.541.521.611.481.451.411.491.401.441.371.411.361.571.381.431.421.501.421.451.431.481.461.511.481.531.441.541.451.581.571.551.471.661.541.651.561.611.431.381.44
50.1652.9552.7952.7550.2752.7052.6950.7050.1554.7550.4152.0752.8456.3156.2256.2156.5156.6755.3156.9156.6160.8058.3359.3255.9060.7861.8963.9860.6064.1862.6665.7364.0566.1457.2665.0162.8663.6059.8363.2561.9562.9761.0261.7859.6960.7758.6462.5858.3262.2756.7957.4758.1061.2754.1758.3154.5957.8855.8162.8865.0462.63
2.971.591.832.342.872.511.782.393.322.712.412.772.631.741.53-1.65-0.670.17-0.460.554.595.144.304.625.704.333.623.612.434.050.85-2.19-6.631.42-14.62-0.431.61-3.25-25.332.052.422.691.272.063.433.102.482.755.234.374.524.635.234.173.002.503.070.740.45-0.56-1.23-10.98
4.092.182.523.223.973.482.483.374.653.763.373.883.712.502.22-2.42-0.980.25-0.680.846.907.776.707.399.337.236.266.544.578.061.78-4.53-13.482.53-26.37-0.883.30-6.52-60.516.037.398.514.244.257.176.735.536.2512.3810.047.527.808.737.245.394.635.951.430.87-1.08-2.64-23.67
1.530.820.961.211.481.270.891.181.661.391.251.451.350.880.77-0.82-0.280.09-0.240.292.372.692.222.332.402.031.701.651.061.700.35-0.92-2.800.67-6.92-0.210.78-1.52-11.921.071.231.340.631.161.881.721.401.562.882.382.792.823.152.541.851.511.810.440.27-0.33-0.66-5.72
2.031.091.261.601.981.731.221.622.271.891.681.931.841.201.06-1.12-0.450.12-0.320.383.213.582.963.153.852.762.272.211.472.370.49-1.27-3.910.89-9.10-0.281.05-2.06-16.171.401.611.760.821.502.472.211.772.104.053.724.524.635.233.482.482.052.480.600.37-0.45-0.91-8.02
16.5416.6016.7616.2716.4616.4016.0115.2815.8816.4816.3316.3216.3615.7615.8115.2115.4215.6616.2516.1516.6816.5815.9215.4015.0715.0214.2813.5613.0512.2111.6712.1312.5014.7414.4916.8217.3317.6919.3424.7124.9324.6424.2223.8923.2822.2822.0421.5120.8321.8120.4820.0120.4419.1018.0017.5416.2816.8317.1817.2217.3117.09
3.472.051.100.323.171.550.65-0.132.161.110.690.192.791.650.800.122.691.751.050.333.611.890.740.113.351.900.50-0.482.411.020.600.292.791.811.310.494.432.771.710.643.411.921.060.563.521.870.670.043.562.010.88-0.092.771.500.810.322.021.130.650.222.632.25
2.191.060.45-0.042.070.740.05-0.491.020.400.24-0.021.340.550.00-0.35-0.21-0.68-0.72-0.531.190.18-0.29-0.401.460.66-0.21-0.751.01-0.09-0.23-0.221.480.840.600.043.361.801.030.261.950.860.450.252.531.220.25-0.152.381.320.47-0.221.891.190.640.201.390.810.440.121.241.01