Leggett & Platt Financial Ratios for Analysis 2009-2024 | LEG

Fifteen years of historical annual and quarterly financial ratios and margins for Leggett & Platt (LEG).

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
1.492.021.551.651.661.871.811.881.871.441.551.832.092.332.27
0.560.560.520.560.610.500.480.470.460.400.330.370.390.330.33
1.491.271.271.331.611.011.050.880.860.840.620.730.640.500.51
18.0718.9820.4721.1221.5520.8222.3724.0523.5720.9020.4220.3718.4719.5120.61
6.769.3810.829.6810.3310.3811.6912.9612.398.499.119.447.548.378.05
6.769.3810.829.6810.3310.3811.6912.9612.398.499.119.447.548.378.05
10.5712.8714.5114.7014.3713.5714.8916.1515.2814.4614.4412.9310.7712.0312.42
-3.677.8410.297.668.499.0010.9512.9911.487.816.838.426.467.616.49
-2.906.027.935.916.617.167.4210.298.302.595.677.274.245.263.66
1.020.990.960.890.991.261.111.261.321.201.121.051.241.121.00
4.724.594.064.885.865.335.365.485.936.225.585.566.696.215.93
7.417.627.797.598.037.476.637.717.537.237.447.657.197.016.51
49.2347.8746.8848.0645.4648.8755.0847.3648.4750.5049.0647.7050.7952.0456.09
-10.2518.8824.4217.7623.9326.4424.6633.5629.8819.5013.3116.0713.2912.047.69
42.31-60.96-79.13-38.04-36.6221114726631818669.2694.8465.7141.5625.43
-2.955.987.595.276.529.058.2712.3011.077.175.997.125.966.123.96
-4.548.3411.717.739.3013.1612.8317.9116.0811.728.9210.108.128.035.12
10.0012.3812.3610.759.968.879.038.198.108.3810.0410.159.3810.4310.59
3.653.231.984.434.933.263.233.952.512.672.833.082.242.373.53
2.982.531.493.953.882.082.073.061.792.012.282.591.731.923.10

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
1.531.571.491.871.992.082.022.071.571.581.551.481.711.801.651.601.822.081.661.741.891.911.872.121.901.851.811.742.081.971.882.061.971.971.871.841.491.481.441.251.721.691.552.202.201.921.831.731.602.162.092.142.282.202.332.382.292.262.272.322.432.46
0.720.580.560.550.550.560.560.580.530.520.520.530.560.570.560.590.630.660.610.640.660.670.500.540.530.510.480.470.510.510.470.490.500.490.460.470.430.420.400.340.420.370.330.400.400.400.370.380.380.440.390.400.370.360.330.350.360.350.330.320.320.33
3.001.611.491.211.211.271.271.371.291.261.271.311.321.381.331.511.761.991.611.791.952.061.011.161.291.161.051.021.051.050.880.960.980.950.860.900.930.900.840.810.880.720.620.650.680.800.730.760.760.780.640.670.590.570.500.560.580.540.510.480.470.50
16.5216.9917.9218.2318.1118.0117.6117.8120.1220.2119.9119.4121.2121.5022.6022.3317.3521.1121.4722.2322.2320.1720.3720.8120.9521.1321.1821.4423.3223.6122.8723.9624.4024.8924.7323.8923.1322.5421.3820.9620.9920.1920.1020.4620.7720.2522.6520.9519.9818.8317.4718.1119.2418.9817.6519.4720.5520.2722.1123.1319.4317.41
4.465.075.507.436.977.067.028.7710.9910.4811.2510.2110.9210.9012.4412.253.928.279.8011.6211.098.689.1811.1010.7110.4711.1211.3812.2612.0311.6113.5213.5113.1511.9113.7711.9211.916.997.3010.659.138.0210.139.908.159.9810.669.477.846.307.638.357.756.358.799.848.3510.0711.986.962.62
4.465.075.507.436.977.067.028.7710.9910.4811.2510.2110.9210.9012.4412.253.928.279.8011.6211.098.689.1811.1010.7110.4711.1211.3812.2612.0311.6113.5213.5113.1511.9113.7711.9211.916.997.3010.659.138.0210.139.908.159.9810.669.477.846.307.638.357.756.358.799.848.3510.0711.986.962.62
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-56.203.87-34.646.036.045.635.777.229.228.9310.049.5412.079.5011.6110.750.275.617.709.939.406.776.5210.389.759.2711.239.9711.4611.1712.1712.7714.3112.6511.2713.1110.9310.566.196.679.758.77-1.6410.319.327.438.419.738.437.063.846.747.627.395.167.858.828.458.9310.744.321.39
-53.362.88-26.664.494.444.414.425.527.146.847.927.378.847.609.148.86-0.724.225.858.047.115.305.068.257.717.573.698.188.858.979.039.8512.649.548.529.437.797.422.164.83-2.506.070.798.127.445.2613.246.736.944.651.044.775.795.023.925.476.035.524.576.702.510.46
0.290.240.240.230.240.230.230.250.260.250.250.250.250.230.250.260.180.210.240.260.240.230.310.310.300.280.280.300.300.310.300.310.320.310.320.330.320.310.300.310.290.270.230.270.290.270.170.300.290.290.290.310.310.290.270.280.280.260.250.260.250.24
1.251.131.121.151.171.111.091.091.041.011.071.101.121.131.321.601.221.261.411.521.441.361.311.361.371.331.361.421.311.321.341.391.391.351.411.521.501.481.561.651.431.341.141.431.491.480.881.641.441.621.571.691.511.571.521.551.541.481.471.571.481.31
1.741.731.751.651.741.691.771.771.851.882.051.891.801.912.101.881.461.841.931.831.731.741.831.751.701.561.651.721.711.731.861.741.791.771.821.911.811.821.821.711.581.531.521.531.731.761.241.661.681.661.661.631.661.561.671.591.631.561.641.481.541.46
51.7352.1151.4454.4651.7953.2650.8050.7848.7447.9843.9947.6949.9647.1542.9147.8761.4848.9146.5349.1951.9551.8449.1551.5853.0457.5854.4052.2252.5652.0548.4651.5850.1950.9649.5647.2349.6049.5649.4052.7356.8059.0059.4158.9451.9151.0172.3654.2653.7054.3354.1555.1654.0757.8353.7556.7755.3057.7554.9060.9758.5561.79
-90.092.45-22.293.233.253.213.224.585.905.416.416.167.316.017.588.24-0.503.565.117.936.975.114.597.727.546.513.067.127.738.087.598.489.348.347.458.746.916.574.004.355.514.080.384.544.543.434.404.754.253.312.043.393.823.182.143.293.603.092.703.451.150.20
206-8.9391.99-11.45-11.96-11.46-10.39-12.42-19.78-19.55-20.75-16.26-16.99-13.84-16.23-13.470.69-4.92-7.82-10.98-9.09-6.0636.6065.5579.4649.3718.2546.4962.0811060.2374.6411096.9179.2611495.5276.7538.2529.0232.1022.841.9725.5026.9920.2125.9431.6535.5231.1810.0916.5615.2212.527.3811.2512.6510.518.9210.513.300.59
-15.680.68-6.421.041.051.021.021.381.821.691.991.862.181.782.252.30-0.130.891.392.051.731.231.572.542.342.111.032.512.672.762.783.053.283.012.763.142.442.361.471.682.151.740.172.011.991.441.952.051.781.390.921.501.791.511.091.621.741.541.391.820.620.11
-25.401.03-9.871.471.471.421.421.932.802.603.072.913.202.573.303.34-0.191.211.992.882.401.702.283.573.513.201.593.773.783.944.054.344.724.294.014.603.953.832.402.893.182.570.252.752.702.062.762.952.641.861.252.032.402.031.432.122.292.011.802.340.780.14
4.989.6210.0012.2712.5312.5212.3811.7912.1712.5112.3611.8311.5210.9310.759.819.179.369.969.549.429.118.878.948.679.119.038.908.578.058.198.267.978.128.108.098.118.108.388.939.209.8910.0410.3710.1010.0810.159.929.589.589.389.6210.2710.2010.4310.3510.1610.4010.5910.7110.6710.34
0.64-0.043.652.571.520.713.231.430.940.281.980.590.22-0.084.432.820.900.084.933.081.510.233.261.860.920.323.231.911.140.423.952.771.870.792.511.800.880.222.671.510.58-0.142.831.620.830.163.081.651.010.452.241.390.690.312.371.360.770.333.532.681.780.71
0.51-0.122.982.001.060.442.530.970.660.151.490.03-0.14-0.253.952.440.59-0.103.882.320.990.002.080.950.320.032.071.040.560.173.062.171.460.591.791.380.530.122.011.070.31-0.182.281.220.550.032.591.280.750.331.731.000.430.201.921.050.570.243.102.271.460.60