Levi Strauss Financial Ratios for Analysis 2009-2024 | LEVI

Fifteen years of historical annual and quarterly financial ratios and margins for Levi Strauss (LEVI).

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
1.481.431.452.022.462.172.272.211.811.692.342.112.002.172.07
0.330.340.380.540.390.510.560.630.720.820.881.061.091.121.21
0.490.520.611.200.651.091.301.792.915.267.29-18.49-13.19-9.35-5.93
56.9057.5358.0652.8453.8153.7752.2651.1650.4849.4050.2147.7148.1450.4048.06
5.7210.4811.91-1.919.839.699.7910.159.596.609.947.247.068.659.21
5.7210.4811.91-1.919.839.699.7910.159.596.609.947.247.068.659.21
9.8513.2414.391.2711.9811.8512.8012.7612.249.9212.9710.039.4511.2010.89
4.2910.5310.07-4.268.298.977.118.956.913.246.894.254.265.344.63
4.049.239.60-2.856.855.085.746.394.662.234.903.122.903.553.70
1.021.020.980.791.361.571.461.521.561.641.501.451.451.411.37
2.061.852.692.573.012.923.083.113.674.003.864.654.043.774.73
8.218.858.158.247.3610.4410.109.509.029.8610.489.217.277.977.43
44.4641.2444.8144.2849.5834.9736.1338.4040.4637.0134.8239.6450.2045.8049.09
12.2029.8933.23-9.7825.1329.5134.3149.2652.3944.94107-150.56-90.18-74.79-48.08
16.9245.4856.05-12.8730.5541.4951.8192.77172-197.93-296.75-35.82-29.21-28.41-22.89
4.129.439.38-2.259.338.058.479.757.283.597.294.454.124.775.04
8.1719.7020.60-4.4715.3214.3615.2318.0614.807.8913.208.948.099.229.87
5.154.844.173.273.992.572.2115.7810.706.205.70-2.50-4.01-5.35-8.41
1.080.561.801.181.011.081.370.800.000.000.000.000.000.000.00
0.30-0.101.390.850.580.671.060.58-------

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
2024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
1.411.421.431.481.421.411.491.431.491.531.551.451.831.831.592.021.961.922.132.462.372.352.032.172.112.222.182.272.192.242.272.212.001.831.831.811.861.912.051.692.192.122.392.342.192.212.092.112.162.292.182.002.082.232.212.172.052.292.232.072.022.152.11
0.350.340.340.330.340.340.340.340.350.370.370.380.440.470.470.540.560.560.380.390.410.430.500.510.540.570.600.560.600.630.630.630.650.700.720.720.790.820.840.820.810.840.870.880.940.971.011.061.051.071.051.091.051.071.111.121.171.201.171.211.201.241.22
0.540.510.510.490.540.590.590.520.530.580.590.610.780.891.461.201.321.550.640.650.700.771.031.091.231.371.541.301.521.731.781.792.072.682.752.914.215.085.245.264.815.896.787.2914.8938.53-118.59-18.49-23.31-16.65-21.39-13.19-20.72-14.95-10.55-9.35-6.94-6.10-6.98-5.93-6.06-5.41-5.82
60.0460.4858.2057.8355.5658.6655.7955.8556.8758.1259.2957.8357.5758.7958.2155.3154.3134.1055.7354.2852.9953.3554.5753.2353.1953.8554.9353.4351.7752.2951.2350.7450.0251.1352.9751.2250.2149.4250.9048.9648.7149.0251.0149.2050.1949.9351.6250.0447.3045.9047.1146.4447.3049.4749.7950.1649.0251.1451.4851.1447.5245.9246.78
2.001.52-0.039.212.300.749.328.6213.125.1814.7111.0614.448.3413.576.648.68-90.0911.878.3911.834.7914.018.0911.436.2013.0211.1011.545.879.8310.9812.235.7411.0412.5410.054.7010.183.609.116.028.295.1210.359.0715.827.047.884.369.466.826.725.958.829.197.787.0910.369.729.466.2011.14
2.001.52-0.039.212.300.749.328.6213.125.1814.7111.0614.448.3413.576.648.68-90.0911.878.3911.834.7914.018.0911.436.2013.0211.1011.545.879.8310.9812.235.7411.0412.5410.054.7010.183.609.116.028.295.1210.359.0715.827.047.884.369.466.826.725.958.829.197.787.0910.369.729.466.2011.14
---------------------------------------------------------------
1.310.83-0.828.32-0.23-0.548.248.7912.275.2915.459.9013.564.3711.853.764.86-92.0910.947.5410.471.9912.678.5110.036.0811.099.489.230.368.0610.4211.004.149.4111.187.821.915.51-0.076.271.535.841.976.705.9513.544.514.441.506.255.163.732.795.186.074.232.558.265.465.17-0.467.81
1.361.25-0.687.730.64-0.126.799.4911.403.3812.309.0812.915.0710.914.092.54-73.0710.146.088.602.1510.226.109.336.02-1.417.906.941.645.467.408.303.046.237.875.091.163.64-0.434.391.064.421.315.004.389.334.092.581.264.223.282.671.923.636.692.54-1.475.445.563.91-0.465.05
0.240.230.260.270.260.230.290.260.260.260.280.290.250.230.210.250.190.090.290.370.350.340.390.450.410.390.420.440.390.360.380.440.400.350.370.450.400.370.390.480.380.360.360.410.360.370.360.410.370.360.360.410.370.350.360.410.370.340.350.400.370.340.35
0.480.470.570.540.490.420.560.500.510.550.640.790.700.610.650.760.510.330.780.810.730.680.710.840.700.680.730.900.740.650.700.890.700.630.671.030.840.840.871.180.820.800.831.090.911.020.971.251.041.120.961.180.870.870.901.111.001.051.101.311.040.950.90
2.232.482.352.182.192.382.202.282.302.412.462.382.242.202.182.571.961.492.122.002.002.292.262.982.863.643.143.022.843.452.712.712.663.022.722.582.603.112.862.882.623.172.912.902.723.212.872.592.512.862.182.052.232.552.422.332.192.622.272.192.072.332.09
40.3236.3338.2341.2541.1137.7540.9639.4939.1737.2736.6637.8040.1040.9041.3835.0845.9960.3442.4344.9244.9039.3739.7530.2031.4524.7328.7029.8131.7026.0833.2133.1733.8129.7933.1134.8934.5928.9631.4631.2534.4028.4130.9331.0533.1028.0831.3234.7435.8731.4941.2143.8640.2935.2937.2538.6141.0934.3839.6041.1043.4138.6943.11
1.110.92-0.546.200.49-0.085.837.929.452.8811.369.1812.014.5110.134.362.27-31.209.576.108.462.1614.5110.0614.749.84-2.6014.1312.512.9210.1416.2717.997.0716.6525.3820.374.8317.65-2.6316.674.4621.637.7854.17120-753.81-56.97-33.85-12.54-54.60-29.46-32.60-16.14-21.96-42.71-10.056.16-21.35-21.13-13.161.14-15.24
1.491.32-0.758.600.70-0.138.7412.0414.704.6418.5515.4914.905.7813.045.743.08-42.4611.897.4110.442.7320.0614.1521.6015.33-4.2821.3520.575.3919.0430.6337.0319.3755.4983.18896-26.60-59.5511.58456-25.63-81.64-21.60-30.06-19.01-34.28-13.56-6.67-3.23-12.30-9.54-7.53-4.56-7.79-16.23-4.492.93-9.34-10.06-6.150.63-8.15
0.330.29-0.182.100.16-0.031.952.502.930.873.402.593.231.172.291.010.49-6.622.992.263.000.733.952.753.792.39-0.583.492.780.602.053.223.271.062.343.532.030.421.42-0.211.630.371.580.531.791.623.401.680.830.461.541.350.950.661.272.720.88-0.651.912.221.43-0.151.78
0.720.61-0.364.150.33-0.053.875.226.191.827.145.696.782.405.341.990.99-13.655.903.725.021.227.234.906.754.20-1.046.275.071.093.725.966.252.134.687.174.330.882.90-0.463.100.702.830.963.493.156.753.381.580.832.862.641.781.192.365.271.73-1.243.644.342.69-0.273.32
4.724.924.965.154.894.894.964.844.624.364.334.174.003.573.523.272.932.944.003.993.743.372.682.5723.3820.7719.022.2118.9916.1615.8315.7814.4911.7410.6310.707.676.335.796.207.986.596.135.702.781.07-0.38-2.50-1.98-2.83-2.42-4.01-2.57-3.40-4.78-5.35-7.10-8.01-7.02-8.41-8.23-9.24-8.45
1.491.360.721.080.440.32-0.400.560.520.360.211.801.210.600.171.180.590.100.481.010.500.400.141.080.520.590.180.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
1.091.080.540.30-0.18-0.14-0.68-0.100.030.060.031.390.950.440.080.850.37-0.090.370.580.190.210.050.670.270.430.09------------------------------------