Lincoln Electric Holdings Financial Ratios for Analysis 2009-2024 | LECO

Fifteen years of historical annual and quarterly financial ratios and margins for Lincoln Electric Holdings (LECO).

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
2.241.831.712.021.912.302.602.692.532.232.472.572.593.233.44
0.460.520.450.480.470.440.430.500.270.000.000.000.000.070.07
0.841.160.890.910.910.790.760.990.380.060.010.010.090.090.11
34.9634.0533.0432.8133.5533.9633.3434.5833.1733.7433.0430.3727.3427.2426.38
17.1316.2814.2710.6212.3512.4014.3612.477.1713.2814.2712.6911.019.015.39
17.1316.2814.2710.6212.3512.4014.3612.477.1713.2814.2712.6911.019.015.39
19.1918.3616.7813.6515.0614.7916.9615.339.6915.7616.6814.9813.3111.6910.01
16.3915.7610.059.9412.2712.1713.9512.206.7013.3614.6012.9511.189.045.02
13.0112.568.557.769.769.489.438.725.039.0510.309.028.066.292.81
1.241.181.251.151.271.291.091.171.421.451.331.371.361.161.01
4.843.734.014.685.075.535.025.836.145.475.465.445.255.164.98
7.786.957.547.118.027.636.648.309.588.337.777.916.986.436.32
46.9252.5548.4251.3445.5347.8354.9743.9738.1043.8146.9746.1452.3156.7657.77
41.6645.6732.0126.0935.7832.3326.5427.8513.6619.7519.0618.9418.1911.504.50
12728497.2764.3896.3562.6143.3856.6520.4126.0924.1323.5420.9912.935.06
16.1414.8510.678.9112.3612.2110.2810.217.1413.0913.5612.3110.987.412.86
22.6122.0217.4913.6919.1418.0515.1214.019.9319.7119.0118.9118.1610.714.16
22.9717.9414.7013.2513.5213.9714.2010.8413.1916.7018.9016.3814.2513.6512.73
11.476.536.085.836.435.015.024.594.185.024.083.892.281.842.94
10.755.365.154.985.484.184.133.873.544.323.183.281.521.252.49

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
2.062.242.242.072.031.931.831.701.621.541.711.661.781.952.021.921.771.621.911.891.982.272.302.582.622.632.602.552.912.722.691.541.652.252.532.442.311.802.232.122.382.512.472.462.512.542.572.522.692.722.592.272.372.423.233.013.083.083.442.983.333.07
0.460.460.460.470.480.500.520.430.440.450.450.460.460.470.480.500.520.520.470.470.460.450.440.430.430.420.430.430.450.470.500.320.310.280.270.260.110.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.070.070.070.070.070.080.080.08
0.840.850.840.910.931.031.160.840.921.000.890.880.850.890.911.011.161.270.910.890.880.820.790.750.740.720.760.750.830.900.990.720.660.420.380.350.180.150.060.060.010.010.010.010.010.010.010.020.020.020.090.080.080.080.090.090.100.110.110.120.100.11
37.5737.5535.0535.3935.2134.1933.0833.1034.3935.6332.3033.2533.1533.5233.0432.2032.0633.8132.7232.6234.7334.0433.6534.1334.1933.8631.8932.5434.5134.8934.5435.2034.2534.3434.5230.8333.9733.5033.7933.7534.3533.0434.0033.6333.0431.5331.1230.5930.2429.6127.9826.4327.9626.9426.2027.7428.8226.1929.0828.3225.7421.92
14.5716.8219.2816.5916.7815.8115.2015.1917.2817.4214.2614.3314.7413.7312.0311.636.7311.5511.2312.1213.5412.4412.7613.6711.9811.2410.2120.2613.6513.6713.9114.428.1213.6713.81-13.0214.5613.7615.3410.6315.4111.7416.6413.7614.3312.3312.5212.7212.9112.6011.8610.6611.449.929.279.289.927.388.407.554.850.25
14.5716.8219.2816.5916.7815.8115.2015.1917.2817.4214.2614.3314.7413.7312.0311.636.7311.5511.2312.1213.5412.4412.7613.6711.9811.2410.2120.2613.6513.6713.9114.428.1213.6713.81-13.0214.5613.7615.3410.6315.4111.7416.6413.7614.3312.3312.5212.7212.9112.6011.8610.6611.449.929.279.289.927.388.407.554.850.25
--------------------------------------------------------------
13.3716.1618.6115.6216.3214.9514.5814.7016.5017.258.484.7614.2612.8311.6910.965.7010.8210.9112.5613.3212.2412.7012.9911.9311.119.8719.5113.3913.4113.8614.157.7213.2912.53-13.7214.2114.0914.7310.8715.7712.0316.9814.1414.6512.6212.8013.0313.1912.7812.0110.8111.6510.109.219.4010.007.388.625.515.93-0.49
9.9512.5814.8012.5212.9511.7311.7211.6813.1813.628.833.9411.639.809.388.744.577.918.659.9211.009.4211.679.578.728.033.2415.859.799.619.4710.585.299.748.57-9.3710.6710.3911.006.3810.618.2412.369.559.989.309.079.288.918.848.317.918.157.837.356.256.315.045.262.893.65-0.87
0.300.290.310.310.320.320.290.350.350.340.330.310.330.320.300.300.270.300.310.310.320.320.320.300.320.300.310.280.300.280.290.310.320.310.320.330.340.340.350.340.340.320.330.330.350.340.330.330.370.360.350.360.350.310.320.290.300.270.270.250.250.25
1.091.081.221.091.021.030.940.990.990.991.061.031.161.211.221.140.961.171.261.201.281.331.361.291.421.311.461.161.421.341.451.291.331.241.351.451.361.311.331.411.301.261.351.241.331.301.291.241.301.281.341.231.191.191.431.191.271.261.281.141.151.07
1.861.801.961.921.861.811.722.021.871.791.971.821.811.761.861.791.741.821.971.851.811.791.871.801.861.711.891.671.941.922.062.022.031.922.152.082.021.962.032.021.791.691.951.841.841.701.901.781.761.691.801.791.691.591.751.631.681.531.691.601.571.58
48.3849.9545.8146.8348.4049.6652.3544.5748.1250.2045.7449.4449.8251.2848.4550.1951.6649.4545.7948.6949.6250.1748.0250.0148.5152.5947.6153.9446.4046.8843.7444.5644.3146.7641.9543.3644.5745.8244.4344.5650.3153.3046.2348.8149.0453.0847.4150.4951.1153.2850.0550.3653.3156.6151.3555.3753.5458.8353.2756.3457.4156.95
7.759.4411.9710.5511.4310.8410.5611.8214.0014.608.613.7011.209.238.238.234.098.327.788.9010.108.279.787.607.306.202.5911.227.207.127.507.973.956.015.22-5.985.925.795.863.265.083.735.754.505.204.764.564.845.185.074.834.454.503.873.612.853.142.172.201.221.52-0.37
19.5219.9725.5024.0026.9827.3565.7221.8626.5529.5926.177.5321.5515.8020.3215.438.1516.2720.9515.0216.3412.2818.9310.169.708.174.2414.949.9310.1415.2511.635.647.647.80-5.985.925.797.743.265.083.737.284.505.204.765.674.845.185.075.584.454.503.874.062.853.142.172.471.221.52-0.41
2.983.654.643.894.153.753.434.124.664.612.871.243.833.142.812.641.232.412.693.073.573.033.692.922.832.441.014.402.892.722.753.271.703.022.73-3.143.633.563.882.123.602.674.093.033.523.182.973.103.283.172.922.822.852.452.331.811.981.351.400.740.95-0.22
4.225.126.505.555.965.455.096.687.867.994.712.026.104.884.324.101.964.014.164.745.494.555.464.344.193.621.486.433.943.753.775.402.714.313.80-4.445.265.775.853.255.083.725.744.495.204.764.564.845.175.064.834.444.493.873.362.652.912.012.031.121.40-0.34
23.1722.7222.9721.4320.9319.5417.9416.0115.7614.8614.7014.5314.4713.4913.2511.9511.1211.2513.5213.3113.6913.7713.9714.4014.4814.9614.2014.3912.9211.9210.8411.4011.7812.9713.1913.9716.0015.6116.7017.7219.1518.8018.9017.5116.9616.9016.3816.0915.3415.1214.2514.8615.0614.3713.6513.5712.8612.8412.7312.4612.1711.48
5.302.3111.479.395.542.126.534.642.410.736.084.252.410.755.833.592.110.366.434.522.410.415.013.501.870.665.023.682.271.154.593.581.840.354.183.191.720.695.023.361.470.174.082.931.04-0.243.892.901.910.942.281.540.540.201.841.220.560.182.942.711.580.85
4.461.8610.758.334.911.865.363.791.850.425.153.541.990.604.983.091.790.275.483.811.970.164.182.921.400.444.133.121.870.973.873.001.490.233.542.681.350.544.322.881.040.003.182.220.68-0.423.282.441.600.791.520.950.200.021.250.830.380.072.492.411.330.69