Key Tronic Financial Ratios for Analysis 2009-2024 | KTCC

Fifteen years of historical annual and quarterly financial ratios and margins for Key Tronic (KTCC).

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
2.302.082.362.162.121.972.292.162.062.362.952.432.752.182.59
0.490.460.450.360.210.200.250.300.300.010.020.190.120.060.06
1.020.910.830.620.320.300.380.490.470.080.020.240.150.060.07
8.078.138.107.847.467.668.198.017.678.799.568.618.139.647.13
2.781.651.841.52-1.280.252.042.151.533.055.024.142.733.700.96
2.781.651.841.52-1.280.252.042.151.533.055.024.142.733.700.96
4.483.163.232.772.982.003.593.422.894.305.844.823.604.602.24
1.070.691.140.96-1.88-0.321.551.681.223.024.953.992.553.650.65
0.880.640.841.06-1.72-0.301.201.350.992.493.493.362.264.350.57
1.411.311.431.471.951.812.012.061.881.952.672.302.261.962.38
3.923.143.473.604.283.744.234.174.375.017.315.425.614.535.32
3.913.914.705.227.946.357.187.865.966.157.685.716.295.777.44
93.4693.2677.6369.9445.9657.4650.8746.4261.2759.3547.5363.9558.0263.3049.08
3.952.703.514.12-6.97-1.124.826.194.277.3513.3614.798.4314.632.08
3.952.703.514.12-7.01-1.275.527.285.147.6313.3614.798.4314.632.08
1.230.831.201.56-3.35-0.542.412.771.864.869.317.705.108.551.37
2.021.461.942.65-5.51-0.903.624.303.007.3013.1612.047.4013.781.96
12.1411.6011.4910.7410.6410.9710.839.849.419.838.977.506.545.795.08
-1.03-0.44-1.36-2.870.090.290.210.410.680.132.60-0.47-0.250.351.00
-1.75-1.06-2.32-3.60-0.69-0.03-0.57-0.100.66-0.562.30-0.90-0.610.020.81

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.802.642.462.302.212.082.072.082.092.062.282.362.532.852.522.162.262.021.962.122.142.152.041.972.092.162.292.292.302.242.292.162.162.091.952.062.302.492.462.362.812.862.782.952.792.742.512.432.482.202.582.752.763.022.532.182.262.272.392.591.95
0.490.470.470.490.500.480.480.460.470.470.480.450.450.450.420.360.360.250.260.210.190.220.200.200.190.220.230.250.270.310.320.300.310.300.310.300.310.310.320.010.010.010.010.020.010.060.130.190.230.180.210.120.210.230.170.060.010.010.010.060.01
0.990.910.941.021.040.970.970.910.940.910.950.830.820.830.730.620.630.400.420.320.290.330.290.300.290.330.350.380.420.510.520.490.490.470.500.470.490.500.530.080.010.010.010.020.020.070.150.240.300.230.280.150.270.300.210.060.020.020.020.070.24
5.758.097.358.558.687.217.569.328.327.297.647.778.248.288.137.428.306.968.817.946.318.037.488.017.537.887.188.308.048.118.298.758.407.837.078.638.368.084.919.258.588.888.499.089.3210.049.729.559.138.137.177.586.678.929.4310.7110.1410.536.485.827.49
-0.412.712.212.603.122.922.451.792.021.231.581.081.912.122.270.891.581.282.411.33-11.612.132.00-2.120.721.481.071.991.632.152.382.812.332.061.412.732.262.20-1.973.152.873.023.154.144.265.645.845.434.913.312.322.521.482.814.144.934.313.870.910.650.99
-0.412.712.212.603.122.922.451.792.021.231.581.081.912.122.270.891.581.282.411.33-11.612.132.00-2.120.721.481.071.991.632.152.382.812.332.061.412.732.262.20-1.973.152.873.023.154.144.265.645.845.434.913.312.322.521.482.814.144.934.313.870.910.650.99
-------------------------------------------------------------
-2.400.680.170.791.480.891.070.630.890.410.830.281.161.461.720.440.910.831.740.69-12.281.561.47-2.710.110.930.521.501.131.681.882.331.801.620.992.361.981.85-2.193.102.853.003.134.114.215.545.725.274.783.162.172.311.212.694.034.894.293.830.800.440.70
-1.580.750.230.651.200.780.840.770.730.440.610.130.641.231.401.270.820.711.470.77-11.101.291.25-1.860.59-0.200.401.130.851.291.531.731.511.540.651.941.651.42-1.761.911.843.982.192.833.393.783.843.943.553.761.792.331.142.842.753.748.543.730.710.630.59
0.380.380.380.390.380.290.320.310.340.330.340.370.390.390.390.380.390.430.370.440.470.490.510.470.450.480.470.510.490.510.500.530.510.510.520.520.520.550.400.460.540.560.570.630.630.690.660.640.630.630.560.590.530.530.570.610.560.540.540.580.51
1.151.081.081.080.970.670.750.730.820.790.860.890.950.980.940.930.900.990.820.971.061.241.180.980.870.950.961.071.061.111.071.061.011.101.161.201.331.471.101.181.531.511.561.721.601.731.551.501.611.461.391.471.301.191.251.391.291.391.281.331.07
1.041.081.041.081.080.920.990.931.001.091.051.201.191.281.351.351.441.661.581.811.931.701.971.671.791.951.961.821.821.781.812.012.131.911.711.651.621.671.161.451.461.521.611.801.741.731.721.591.601.781.451.641.501.621.811.791.911.711.631.831.55
86.8783.4986.1583.3583.0997.7091.1596.9089.6482.6185.7274.8675.5070.2466.8866.8162.4454.1557.0949.8146.6152.8545.6154.0350.4146.2745.8249.5049.3850.4649.7844.8042.2547.0452.6054.4455.5553.9477.8761.9661.4959.1656.0650.0051.6852.1552.3356.4856.2450.6062.2854.9960.0655.6749.8150.3647.1452.6955.0749.2358.15
-1.710.820.260.811.530.760.910.780.810.480.660.140.701.281.451.270.810.711.350.71-10.591.281.29-1.840.53-0.190.371.150.851.431.682.031.711.750.822.321.871.65-1.511.331.393.121.782.553.084.094.464.854.554.611.912.261.092.672.803.897.633.160.580.560.53
-1.710.820.260.811.530.760.910.780.810.480.660.140.701.281.451.270.810.711.350.72-10.651.431.45-2.090.60-0.220.421.310.981.671.972.392.022.090.992.792.272.00-1.841.381.453.251.852.553.084.094.464.854.554.611.912.261.092.672.803.897.633.160.580.560.53
-0.590.290.090.250.460.220.270.240.240.140.210.050.250.480.540.480.320.300.550.34-5.250.630.63-0.880.27-0.100.190.570.420.650.760.910.760.780.331.010.860.78-0.700.881.002.241.251.772.132.622.542.532.252.361.011.370.611.491.572.274.822.020.390.370.30
-0.880.440.140.420.770.400.480.420.430.260.350.080.390.710.840.820.520.531.000.56-8.541.001.04-1.470.43-0.150.280.860.620.981.141.411.181.230.571.631.301.14-1.021.321.383.101.762.513.053.843.893.953.513.791.511.980.862.052.323.677.533.120.580.530.52
12.0912.3112.1812.1412.0311.8311.7311.6011.5211.4011.4311.4911.4711.4511.0210.7410.5010.8610.7010.6410.5211.5511.4710.9711.3210.8610.9810.8310.489.939.909.849.769.519.269.419.429.369.539.839.649.489.128.978.878.348.007.507.146.586.246.546.416.276.015.795.695.245.035.084.93
0.570.830.51-1.03-1.57-0.93-0.54-0.44-1.05-0.95-1.32-1.36-1.55-1.48-0.86-2.87-2.95-0.78-0.950.090.31-0.470.030.290.370.310.120.210.690.29-0.130.410.020.290.110.680.610.45-0.200.130.21-0.05-0.142.601.911.140.56-0.47-0.640.08-0.55-0.25-1.09-1.25-0.730.350.751.000.381.000.01
0.250.590.46-1.75-2.02-1.28-0.77-1.06-1.42-1.20-1.49-2.32-2.39-2.09-1.14-3.60-3.43-1.20-1.17-0.69-0.23-0.80-0.12-0.030.170.200.10-0.570.01-0.16-0.39-0.10-0.330.170.020.660.550.38-0.21-0.56-0.19-0.28-0.142.301.650.940.49-0.90-0.98-0.18-0.59-0.61-1.43-1.51-0.870.020.600.880.350.81-0.01