Lindsay Financial Ratios for Analysis 2009-2024 | LNN

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

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
3.923.582.963.013.403.824.133.183.153.393.213.613.723.253.103.20
0.190.200.230.250.280.300.300.300.320.29---0.020.040.09
0.240.250.290.340.390.430.420.430.470.41--0.010.030.060.12
31.4731.6025.8426.4632.1425.8127.6528.0028.7827.9127.6728.2026.9427.1027.5923.98
12.6215.1612.289.5311.421.387.127.856.669.0512.6815.5011.8811.8210.566.67
12.6215.1612.289.5311.421.387.127.856.669.0512.6815.5011.8811.8210.566.67
16.1118.0214.9012.9115.504.5310.1411.079.9311.9815.0717.3214.1514.2713.559.77
13.0214.8911.408.8810.290.476.186.905.678.3512.7315.5311.8111.8010.266.11
10.9110.748.497.508.140.493.704.473.924.708.3410.227.857.686.944.11
0.800.901.080.890.830.891.101.021.061.041.171.351.331.261.101.09
2.692.962.952.873.073.575.004.334.925.396.237.237.627.055.735.53
5.214.665.586.065.615.887.937.016.417.566.565.746.686.065.637.84
70.1178.3965.4560.1965.0562.1046.0552.0456.9848.2655.6063.5554.6760.2264.7946.53
13.7815.8816.6412.5812.940.817.328.588.069.1213.4618.5413.9213.3510.836.66
17.8420.9921.2517.0218.661.2110.9715.4415.8916.4616.4222.9716.9217.0314.258.95
8.729.719.216.686.770.434.064.584.164.909.7813.7810.419.667.644.49
11.1212.6812.879.389.330.575.165.995.506.4813.4618.5413.9213.1510.446.09
44.3341.3835.8331.0327.5524.8625.7425.2523.6725.5630.7629.5724.4321.7518.3916.79
8.6910.820.284.004.240.353.153.693.034.167.134.464.093.391.894.61
6.069.12-1.141.592.26-1.802.122.861.982.875.753.593.332.741.483.77

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
3.923.953.873.533.583.693.623.242.962.742.792.883.012.903.273.483.403.163.703.733.823.653.853.924.133.553.003.293.182.973.153.253.152.863.193.393.393.253.483.113.213.553.603.683.613.283.293.523.723.393.553.213.252.963.223.273.103.173.113.123.203.413.10
0.190.190.190.200.200.210.210.220.230.230.240.250.250.260.270.280.280.290.290.300.300.300.300.300.300.300.300.300.300.310.320.320.320.320.320.290.290.270.26----------0.000.010.010.020.020.030.030.040.040.070.080.090.090.10
0.240.240.240.250.250.260.270.290.290.300.320.340.340.340.360.380.390.410.420.430.430.430.430.420.420.420.430.430.430.440.460.470.470.480.470.420.410.370.35------0.000.010.010.010.020.020.030.030.040.040.050.060.060.100.110.120.130.15
29.4833.4032.3130.9331.4232.3432.6430.1030.0328.7921.4622.5321.8527.2128.6828.9535.3332.2529.3631.1530.9024.7822.4225.5926.1830.3627.1026.0228.6430.2926.5425.7030.0629.5826.9128.3027.0928.8628.0427.3827.0628.3927.9327.1926.0028.7128.6929.0825.6228.4927.6225.3725.8827.0428.3027.1729.4925.2425.9730.0224.0324.9120.38
8.7114.3214.5813.0613.9816.3816.4013.9614.6116.419.168.046.1313.1811.016.9513.5912.867.5911.223.983.70-4.081.825.4411.105.594.989.0811.496.872.489.0310.84-3.899.662.2413.3710.308.8311.0014.8413.6910.8310.6518.0116.7715.119.9316.7314.344.268.4215.0814.207.4111.1410.048.1212.984.818.91-0.69
8.7114.3214.5813.0613.9816.3816.4013.9614.6116.419.168.046.1313.1811.016.9513.5912.867.5911.223.983.70-4.081.825.4411.105.594.989.0811.496.872.489.0310.84-3.899.662.2413.3710.308.8311.0014.8413.6910.8310.6518.0116.7715.119.9316.7314.344.268.4215.0814.207.4111.1410.048.1212.984.818.91-0.69
---------------------------------------------------------------
9.8014.4914.9813.0114.9015.6415.4813.6312.4316.599.605.705.0713.0610.146.3414.379.966.0310.292.222.67-4.641.504.8210.294.353.857.9910.696.151.218.299.95-5.148.550.4312.7110.028.6511.2215.0113.6110.7110.5718.1116.8015.199.9016.6114.703.738.4215.0914.157.3811.089.637.7012.714.529.35-0.72
8.2214.6411.969.3111.5110.2610.8610.349.4311.707.284.763.7810.998.276.5411.438.204.857.631.482.39-3.151.084.046.121.332.564.817.234.040.795.886.82-3.425.71-2.578.046.385.617.689.718.806.937.0311.8711.029.996.8510.949.672.455.089.969.424.816.836.247.027.772.846.230.23
0.200.180.200.210.220.230.230.250.270.300.300.260.240.250.240.190.230.220.210.210.200.240.220.220.250.330.250.250.260.300.250.230.270.290.250.240.230.280.240.280.280.320.290.280.290.420.360.330.310.410.340.310.300.410.350.270.270.320.270.270.240.280.22
0.710.540.610.680.740.670.630.650.690.780.840.740.830.860.840.670.790.740.760.770.761.000.850.941.151.430.920.981.091.191.101.021.241.201.071.111.201.441.231.271.501.541.361.421.602.161.601.551.801.981.391.541.742.121.571.221.361.591.341.361.211.170.78
1.331.040.991.131.151.071.001.121.381.381.491.481.641.501.521.451.521.451.411.381.351.281.231.321.781.841.351.561.791.751.571.581.651.731.521.731.671.721.511.511.571.641.371.211.231.681.671.661.551.801.701.551.471.751.601.491.371.761.601.671.711.471.11
67.7086.9491.2579.7977.9684.3290.4180.2765.4065.3360.5760.6554.8359.8659.0662.1559.3062.0963.6565.2666.7470.3273.0168.2250.4648.9066.8057.6650.3851.5457.1656.8954.5952.1759.1452.1053.9652.3159.5159.5157.4354.8265.5074.4172.9553.6754.0454.2958.1450.0452.8157.8961.2451.3756.2460.5665.6751.0956.3053.9752.5761.0581.15
2.654.253.753.224.223.864.284.504.566.584.092.311.715.293.722.334.923.571.993.060.561.07-1.270.441.803.740.641.182.354.151.980.353.103.94-1.642.47-1.104.112.682.142.964.153.412.632.747.015.574.522.826.234.431.072.145.754.561.822.602.802.723.081.002.580.08
3.435.504.864.225.584.795.355.705.828.515.403.112.327.235.203.337.095.282.914.510.841.60-1.900.652.695.641.122.124.227.663.790.696.128.05-3.294.49-1.996.904.342.653.615.034.163.223.398.186.605.423.427.635.531.352.737.305.902.403.423.603.554.101.353.460.11
1.682.692.371.972.582.332.552.572.523.522.151.220.912.771.991.232.571.811.031.580.300.57-0.690.241.002.000.330.631.252.141.020.181.601.97-0.851.36-0.592.241.501.542.153.062.531.962.045.034.013.332.114.513.250.761.554.053.301.321.831.991.862.080.681.730.05
2.143.423.032.583.373.063.363.503.525.053.091.731.283.942.731.693.542.531.402.150.390.75-0.890.311.272.640.450.831.642.881.350.242.122.66-1.121.74-0.782.991.982.142.964.153.412.632.747.015.574.522.826.214.401.052.115.644.441.772.502.682.532.850.922.340.07
44.3344.0943.7642.3241.3839.6838.3636.7835.8334.6832.4831.1631.0330.8229.2527.9727.5526.1225.6025.2524.8625.0725.2025.6525.7425.8025.3825.1125.2524.6723.7823.3023.6723.0423.1925.1925.5627.3628.2929.1730.7631.2730.7030.1629.5728.9027.0025.2324.4323.4922.4221.3421.7521.1419.7818.7318.3917.8917.6217.4416.7916.6215.74
8.693.871.101.9810.825.350.710.420.28-2.26-3.26-2.194.002.781.011.414.241.47-0.200.140.35-1.82-3.69-1.323.150.76-0.83-0.463.692.291.000.763.031.89-0.450.754.163.021.300.467.135.112.510.464.463.162.031.054.092.020.380.493.392.230.310.171.891.170.880.764.611.95-0.16
6.061.73-0.601.359.124.150.060.08-1.14-3.37-3.88-2.471.590.74-0.490.902.260.70-0.33-0.26-1.80-3.68-4.78-1.852.120.12-1.26-0.652.861.700.610.631.980.95-1.120.342.872.060.750.175.754.512.090.283.592.531.620.873.331.440.020.282.741.81-0.030.061.480.900.770.653.771.46-0.58