Knight-Swift Transportation Holdings Financial Ratios for Analysis 2009-2024 | KNX

Fifteen years of historical annual and quarterly financial ratios and margins for Knight-Swift Transportation Holdings (KNX).

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
0.941.671.321.100.901.481.512.421.771.801.911.942.111.570.96
0.190.170.190.100.060.100.110.020.680.750.840.840.941.051.56
0.300.210.280.120.130.130.130.032.243.185.655.6416.45-23.39-2.85
71.0368.4968.8771.0566.5863.6964.1767.4866.2255.5053.9753.1353.5957.6860.88
4.7314.7016.1012.088.8210.658.2713.2815.058.618.678.858.528.305.13
4.7314.7016.1012.088.8210.658.2713.2815.058.618.678.858.528.305.13
15.0323.5825.7422.9218.3818.7016.8123.6724.4314.3914.7415.2815.3716.5415.41
3.7813.7416.2511.998.5510.337.9913.6715.775.836.235.074.27-5.76-4.24
3.0410.3812.398.776.387.8519.978.409.873.753.773.522.72-4.28-16.94
0.550.680.560.550.580.680.321.040.411.491.471.421.431.141.02
--------21.6910110310610112598.68
7.488.246.588.049.048.793.857.432.738.649.319.8611.3510.3924.90
48.7844.2855.5145.4040.3641.5494.7149.1613442.2639.2237.0332.1635.1314.66
3.0311.0911.376.995.477.709.2612.0719.1934.2754.8148.2795.5315150.32
18.0146.4762.1226.3322.6437.4753.2512.89147-194.40-54.26-47.23-20.7117.7828.88
1.677.046.984.853.755.326.328.834.065.575.535.023.89-4.88-17.33
2.459.229.196.305.176.908.2911.786.218.528.587.565.65-6.98-28.03
44.0243.2839.4235.2633.2131.6029.449.836.184.602.802.891.07-0.87-20.00
7.188.807.125.394.884.962.893.002.503.834.624.453.381.282.66
2.365.025.443.121.571.980.161.910.682.162.682.741.67-1.482.63

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
1.010.880.930.941.021.991.591.671.621.331.261.321.651.521.021.100.790.850.860.901.291.171.071.481.431.471.451.511.321.451.432.421.551.731.941.771.091.801.681.801.641.721.601.911.681.661.801.941.911.901.692.111.731.771.621.571.221.241.240.96---
0.240.200.200.190.210.200.160.170.180.180.180.190.220.080.080.100.040.050.060.060.110.110.080.100.110.100.100.110.120.550.580.020.650.660.680.680.640.700.720.750.770.800.830.840.870.820.850.840.900.920.940.940.970.991.011.051.501.511.491.56---
0.350.310.320.300.330.270.200.210.230.260.260.280.290.100.110.120.120.120.130.130.130.140.100.130.140.120.120.130.151.311.470.031.952.032.202.241.922.462.713.183.634.375.085.657.114.915.875.648.9412.5317.8116.4538.44130-187.33-23.39-3.06-3.02-3.09-2.85---
72.8972.4271.9170.4470.1472.5371.3869.8368.6067.2668.4269.0769.6567.3069.2271.0871.1072.9969.1466.6966.6866.7866.1565.5663.4562.5563.1063.7063.6366.3265.3965.4267.3263.3464.6364.4762.1761.1761.0259.0455.6054.0952.8854.6753.6054.4253.1152.9652.1554.3353.2952.2954.3453.8854.6357.8558.3557.4556.9750.3060.4661.5763.95
4.343.441.130.954.016.058.8511.6213.9916.6116.3218.8416.4414.5313.2715.2313.679.639.088.328.588.749.6614.8310.719.337.3710.581.1110.408.3512.0213.177.335.4211.177.049.307.3911.639.068.744.589.548.189.747.1010.137.789.937.008.6610.388.536.169.8110.838.313.547.016.944.311.99
4.343.441.130.954.016.058.8511.6213.9916.6116.3218.8416.4414.5313.2715.2313.679.639.088.328.588.749.6614.8310.719.337.3710.581.1110.408.3512.0213.177.335.4211.177.049.307.3911.639.068.744.589.548.189.747.1010.137.789.937.008.6610.388.536.169.8110.838.313.547.016.944.311.99
---------------------------------------------------------------
2.361.72-0.37-0.502.905.468.3410.9613.7314.8715.1918.0216.2715.5714.3215.0914.0510.108.037.768.298.509.6414.5210.478.927.0610.180.5610.658.6112.1013.636.464.6910.545.407.826.068.006.896.081.987.305.447.474.587.394.916.360.325.525.863.890.73-11.550.26-2.46-9.55-5.41-0.05-4.66-7.04
1.621.10-0.14-0.552.984.086.378.5310.2711.1911.4014.0112.5511.6110.6111.1410.087.565.825.646.226.387.3010.887.866.865.5432.920.746.585.497.678.474.243.306.653.414.813.735.134.673.741.224.212.904.853.095.183.393.860.753.753.582.300.42-6.19-0.13-3.13-8.09-5.56-0.61-4.92-7.09
0.150.150.140.150.160.140.150.160.180.180.170.170.160.150.140.150.140.130.140.140.140.150.150.180.170.170.170.180.070.110.100.270.100.360.340.370.360.360.350.390.380.380.360.380.360.390.370.460.380.340.320.490.340.330.300.300.280.280.250.27---
-----------------------------5.515.63-5.6423.4218.5221.0221.1022.0821.8924.5823.0123.7926.7326.4526.3929.7928.6034.4725.8822.3717.2135.7222.4721.8929.3533.2931.7533.4829.9332.59---
2.132.101.972.021.962.131.971.931.981.931.941.991.871.942.092.202.132.012.102.232.162.122.162.292.022.122.062.160.890.680.681.920.682.422.312.512.292.322.222.292.332.312.132.432.352.782.633.182.612.472.423.922.532.492.372.772.462.532.396.47---
42.2742.9345.7244.4645.9542.2845.6746.5245.5146.7046.3045.1948.0746.3642.9840.9442.2344.8042.7840.2841.7242.4041.6439.2544.5542.5043.7641.6710113313246.8813337.2538.9735.8539.3638.7640.5839.3138.5538.9142.2937.0338.2732.3634.2228.2734.4636.4137.1922.9535.5036.0838.0332.5136.6335.5537.6213.91---
0.430.28-0.04-0.150.840.891.472.142.863.313.173.893.272.512.182.422.081.391.161.191.341.441.592.781.971.701.338.550.092.552.222.853.937.055.2611.755.938.917.3512.4412.4611.564.0715.9712.7616.4111.8022.9318.4125.476.4645.5767.30137-32.8158.090.122.786.484.29---
2.921.70-0.26-0.924.963.465.918.9512.8516.7016.7021.2719.648.888.139.137.855.614.904.935.796.557.2613.5310.188.847.4849.130.808.959.083.0427.2253.2142.6789.7850.61187-110.06-70.56-32.38-18.80-4.67-15.82-8.83-18.18-9.29-22.43-8.24-7.28-1.23-9.88-5.51-3.27-0.516.850.071.583.642.46---
0.230.16-0.02-0.090.470.550.951.361.812.051.952.391.991.761.521.681.440.970.790.820.900.971.091.921.341.180.925.830.060.700.572.080.871.551.112.481.221.751.322.021.771.430.441.611.051.891.152.381.291.310.241.861.220.760.13-1.88-0.04-0.89-2.01-1.48---
0.320.23-0.03-0.120.660.711.241.782.342.702.593.142.562.312.002.181.991.331.091.131.191.271.462.491.751.531.207.650.081.140.932.781.392.431.703.802.142.682.073.092.802.260.702.501.632.881.783.591.891.930.362.701.761.070.18-2.69-0.06-1.41-3.20-2.39---
43.6543.6943.7744.0244.1943.9143.7043.2842.4341.2840.2239.4237.9836.8035.9535.2634.5533.8833.5233.2132.8632.4732.0431.6030.7330.2129.7829.4426.977.427.119.836.426.336.206.185.955.575.024.603.953.412.972.802.323.012.552.891.821.320.951.070.460.14-0.10-0.87-15.27-15.37-15.13-20.00---
3.231.920.237.185.404.462.138.806.804.412.747.124.892.761.825.393.832.250.914.883.582.101.404.963.272.101.171.801.311.490.813.002.372.501.332.023.442.391.243.832.841.780.744.623.472.411.094.452.831.650.693.382.161.210.601.282.640.770.352.661.860.120.14
0.720.32-0.642.361.451.870.895.024.603.242.125.443.722.041.563.122.221.100.471.570.900.831.121.981.291.421.130.100.711.210.661.911.432.521.330.551.671.230.772.161.921.220.432.681.901.260.622.741.690.910.591.670.960.270.26-1.480.84-0.230.062.632.450.23-0.05