LGL Financial Ratios for Analysis 2009-2025 | LGL

Fifteen years of historical annual and quarterly financial ratios and margins for LGL (LGL).

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
2024202320222021202020192018201720162015201420132012201120102009
47.1787.6967.0212.629.947.089.959.354.685.764.283.764.343.653.751.61
--------------0.020.07
-----------0.070.050.130.040.55
52.9753.9449.4350.8335.0739.2438.8434.5633.6733.0727.5026.0626.0630.1735.0423.72
-61.41-75.46-125.20-243.504.5410.785.751.23-0.77-3.80-12.29-15.89-6.001.8914.49-6.88
-61.41-75.46-125.20-243.504.5410.785.751.23-0.77-3.80-12.29-15.89-6.001.8914.49-6.88
-60.47-74.19-91.48-203.676.2412.337.734.102.920.40-8.29-12.11-3.294.2516.11-3.88
31.4037.38-387.071,1084.1812.266.310.98-0.08-3.39-12.29-16.30-6.211.5913.88-8.00
19.4115.57-180.791,0123.1122.005.650.520.71-3.43-12.28-31.37-4.441.0720.20-8.06
0.050.040.040.020.720.810.830.811.261.311.331.231.001.101.971.69
3.923.903.162.623.833.223.413.783.813.913.974.194.114.395.104.46
4.524.853.052.157.567.187.336.605.967.957.058.096.838.288.076.55
80.8475.2012017048.2850.8649.8155.2861.2245.9251.8045.0953.4544.0845.2355.73
1.270.85-12.6722.932.4320.115.140.471.07-5.18-19.84-49.05-5.361.4950.40-27.99
1.270.85-12.7022.972.4520.345.230.481.12-5.37-20.61-49.28-5.361.4950.40-27.99
1.210.82-12.2620.812.2317.894.670.420.89-4.50-16.37-38.65-4.461.1839.72-13.58
1.270.85-12.6722.932.4320.115.140.471.07-5.18-19.84-49.05-5.361.4949.42-26.06
7.687.577.1910.317.547.075.665.315.195.155.446.469.479.878.254.04
0.160.07-0.150.250.610.540.340.220.100.26-0.50-0.26-0.180.902.450.29
0.160.07-0.270.050.530.300.270.210.040.10-0.60-0.42-0.530.242.110.14

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
2024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
47.1757.2067.6480.7987.6967.9281.9251.0767.0210.2915.3512.4812.6226.099.665.429.948.998.217.047.086.527.077.019.958.659.078.919.355.445.004.654.684.835.345.625.765.224.834.444.283.662.843.373.764.544.804.884.344.083.623.443.653.374.615.203.753.182.051.651.611.982.422.39
-----------------------------------------------------0.010.010.010.020.030.040.060.070.270.250.26
------------------0.00-----------------------0.100.090.070.060.040.060.050.060.110.130.130.150.020.020.040.050.340.510.550.690.520.53
-110.4868.7959.7047.9654.9380.0648.3956.4668.5140.9938.6541.9735.1836.2539.6832.6738.6035.5331.7834.3038.7841.2139.9636.4436.7339.5241.6337.4936.4033.2431.8736.7434.4034.6133.8831.5233.2433.0932.6833.2929.9931.0323.3326.0322.1322.4225.6732.4730.6624.5426.4722.2627.8928.0331.7532.6231.7237.5636.2634.1432.0519.7019.8721.16
-635.4811.70-56.50-106.38-49.3320.35-111.66-66.44-41.41-152.91-129.73-203.1217.11-9.958.95-0.92-1.868.782.617.6611.6213.0610.926.544.767.537.942.662.170.020.751.920.05-0.550.50-3.41-2.78-3.21-6.09-2.98-6.02-7.33-21.85-13.28-32.87-19.37-11.74-3.76-3.07-6.24-3.82-11.17-5.351.275.854.259.1917.6718.7611.255.90-11.54-12.35-12.70
-635.4811.70-56.50-106.38-49.3320.35-111.66-66.44-41.41-152.91-129.73-203.1217.11-9.958.95-0.92-1.868.782.617.6611.6213.0610.926.544.767.537.942.662.170.020.751.920.05-0.550.50-3.41-2.78-3.21-6.09-2.98-6.02-7.33-21.85-13.28-32.87-19.37-11.74-3.76-3.07-6.24-3.82-11.17-5.351.275.854.259.1917.6718.7611.255.90-11.54-12.35-12.70
----------------------------------------------------------------
19811.7044.6320.1573.7720.35-32.7556.69-31.11-754.36-768.38-193.051285440.100.50-0.619.914.422.7512.9414.0212.418.874.378.608.933.260.720.360.772.031.070.620.29-2.65-2.82-4.02-3.47-3.29-4.75-8.82-21.69-13.20-33.92-19.66-11.90-4.00-2.59-6.31-4.30-11.97-6.010.955.604.219.4516.6718.1510.224.67-12.92-13.12-13.76
1636.1125.805.3630.0411.04-32.2635.6025.38-424.13-485.9540.5388.08424-0.260.41-1.347.793.612.1210.9252.7511.988.784.077.547.673.25-0.550.320.341.973.910.620.31-2.65-2.72-4.07-3.67-3.29-4.68-8.82-21.69-13.20-34.37-19.66-71.27-1.12-2.59-4.30-2.84-8.27-4.010.953.592.6738.1215.9617.379.964.06-12.99-12.95-13.37
0.000.030.010.010.010.020.010.010.010.010.010.01-0.320.090.160.140.170.190.170.200.230.220.240.210.210.210.220.210.210.320.350.330.350.320.330.300.320.300.330.320.320.310.290.290.270.270.290.260.260.240.240.220.230.280.310.300.460.620.590.510.500.400.410.38
0.981.090.640.960.991.020.920.810.620.030.040.04-46.580.910.750.820.860.960.800.950.900.780.820.810.910.870.840.930.930.900.980.881.040.910.990.920.950.860.980.890.910.870.991.040.970.980.970.920.991.010.940.960.941.130.960.971.271.161.241.061.171.301.241.14
0.258.861.571.461.253.581.080.870.970.060.080.08-28.981.491.481.671.801.741.581.791.991.751.551.511.891.541.591.631.671.631.911.771.651.671.671.871.932.181.851.711.671.601.701.631.771.861.761.651.761.801.791.881.711.651.861.881.911.861.791.801.931.711.851.82
35810.1557.4661.7671.8425.1283.3010493.261,4711,1461,134-3.1160.3660.8653.8850.0451.7956.9950.3345.2651.3757.8859.7047.5158.2956.7255.2953.9855.3647.0850.9954.6053.7853.9748.1446.5241.3048.7352.4953.9256.1552.9555.3650.7548.3851.1754.4951.2249.8750.3947.7652.5054.4048.4247.9047.2148.3950.2249.9046.7452.4948.7749.32
0.550.220.390.110.390.32-0.320.480.00-3.73-4.23-1.16-35.1444.32-0.050.07-0.251.600.660.482.7713.413.222.080.961.771.840.77-0.150.120.140.831.640.230.10-0.93-1.03-1.38-1.44-1.26-1.79-3.42-8.54-5.05-11.78-6.41-25.10-0.34-0.80-1.27-0.86-2.36-1.160.351.340.9522.4813.7117.6410.544.15-11.42-10.13-9.95
0.550.220.390.110.390.32-0.320.480.00-3.75-4.24-1.16-35.2144.49-0.050.07-0.251.610.670.482.8013.583.272.110.981.801.880.78-0.150.130.150.871.720.250.11-0.96-1.06-1.43-1.49-1.31-1.86-3.42-8.54-5.05-11.83-6.41-25.10-0.34-0.80-1.27-0.86-2.36-1.160.351.340.9522.4813.7117.6410.544.15-11.42-10.13-9.95
0.530.210.380.100.380.31-0.310.460.00-3.36-3.93-1.06-31.9039.27-0.040.06-0.231.460.600.422.4611.722.821.810.871.581.660.69-0.130.100.120.691.370.200.09-0.80-0.89-1.19-1.21-1.05-1.48-2.71-6.20-3.89-9.28-5.30-20.95-0.29-0.67-1.05-0.68-1.84-0.910.271.100.8017.719.9510.225.092.01-5.21-5.27-5.02
0.550.220.390.110.390.32-0.320.480.00-3.73-4.23-1.16-35.1444.32-0.050.07-0.251.600.660.482.7713.413.222.080.961.771.840.77-0.150.120.140.831.640.230.10-0.93-1.03-1.38-1.44-1.26-1.79-3.42-8.54-5.05-11.78-6.41-25.10-0.34-0.80-1.27-0.86-2.36-1.160.351.330.9422.0413.3016.939.953.86-8.39-7.59-7.35
7.687.637.617.617.577.577.437.227.199.7510.0110.1210.3113.587.567.567.547.857.427.377.076.875.965.785.665.605.455.355.315.275.265.245.195.125.105.105.155.205.275.385.445.555.736.186.467.217.629.469.479.559.609.659.879.969.889.718.256.415.494.534.043.764.204.62
0.160.160.070.030.070.080.00-0.01-0.15-0.16-0.17-0.100.250.040.010.080.610.350.170.180.540.22-0.050.020.340.140.060.030.220.070.150.080.100.100.020.030.260.390.160.04-0.50-0.42-0.22-0.21-0.26-0.02-0.11-0.28-0.180.00-0.190.050.900.610.660.462.451.340.360.010.290.270.590.79
0.160.160.070.030.070.080.00-0.01-0.28-0.28-0.24-0.140.05-0.10-0.070.060.530.290.150.170.300.05-0.19-0.060.270.090.010.000.210.060.140.080.040.06-0.010.010.100.250.06-0.06-0.60-0.48-0.24-0.21-0.42-0.16-0.20-0.34-0.53-0.31-0.43-0.060.240.120.220.232.111.190.29-0.010.140.140.480.74