Lifeway Foods Financial Ratios for Analysis 2009-2024 | LWAY

Fifteen years of historical annual and quarterly financial ratios and margins for Lifeway Foods (LWAY).

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
2.302.072.412.852.022.541.872.942.502.832.793.172.361.891.94
0.020.100.110.060.060.120.060.110.140.150.170.110.140.150.17
0.050.140.150.060.060.140.130.150.180.200.230.140.200.270.36
26.5118.9224.1126.4023.6525.0225.8228.2825.2024.2628.3232.7330.3934.4938.76
10.611.664.944.83-2.06-3.01-0.444.913.713.568.2310.877.2610.7316.58
10.611.664.944.83-2.06-3.01-0.444.913.713.568.2310.877.2610.7316.58
12.593.767.358.001.501.562.187.356.356.2910.6313.8010.5914.3519.94
10.401.304.724.731.32-3.20-0.684.553.373.538.0610.856.9111.0215.67
7.100.652.783.170.48-2.99-0.292.811.661.645.126.914.086.1910.33
1.962.051.681.671.641.821.841.901.831.881.531.521.361.121.05
12.9311.9210.9110.8411.1913.3211.4611.0511.5715.5010.139.219.839.6210.02
11.5412.3611.5912.7012.7011.4510.7912.5111.4710.358.439.238.527.507.33
31.6329.5431.5028.7428.7331.8733.8429.1831.8135.2543.2839.5642.8648.7049.81
18.811.946.746.901.05-7.28-0.747.194.364.3811.6214.308.0810.7717.10
27.173.2511.249.841.50-10.56-1.1010.666.847.0919.8627.0417.7726.6844.54
13.921.344.675.280.79-5.43-0.545.333.043.087.8410.505.556.9610.82
18.361.755.986.510.98-6.38-0.706.373.773.709.6112.696.989.1114.11
4.113.253.183.002.752.682.912.992.792.732.632.412.152.031.94
1.120.250.350.410.240.150.240.320.410.310.360.400.250.340.45
0.840.030.230.290.20-0.02-0.090.130.310.09-0.120.320.160.200.35

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
2.832.532.302.252.442.002.072.182.462.262.412.273.132.912.852.611.882.212.022.032.082.142.542.372.222.321.872.062.172.432.942.562.782.662.502.772.402.832.832.762.992.512.792.752.622.833.172.632.402.582.362.192.062.101.892.022.002.001.941.941.881.52
-0.020.020.070.080.090.100.100.100.110.110.120.050.050.060.06-0.060.060.090.100.100.120.120.120.120.060.060.060.110.110.120.120.130.140.140.140.150.150.150.160.170.170.180.100.100.110.120.120.130.140.140.150.150.150.150.160.160.170.190.200.23
-0.040.050.100.120.120.140.130.140.140.150.150.060.060.060.060.060.060.060.100.110.110.140.130.130.130.130.130.140.140.150.150.160.170.180.180.180.190.200.200.210.220.230.230.130.130.140.150.160.170.200.220.230.240.270.280.320.330.360.430.460.54
27.0125.8428.0127.2528.7521.7022.1019.9017.0116.3619.3423.6626.3327.4025.1429.1027.7023.6222.0622.7624.0325.6122.1223.9025.3827.9619.5127.2329.2426.3328.5526.6131.2726.7122.2230.1921.6526.7522.8525.9125.3822.8817.3928.8732.9235.2229.0933.3237.0631.4010.9535.8530.2343.8120.0836.0638.8543.0529.0040.5242.4640.18
10.967.9913.6712.3212.153.795.473.130.72-3.081.313.538.556.592.4610.055.750.94-5.23-1.12-0.29-1.63-13.00-2.451.230.53-12.201.795.980.834.080.639.794.963.026.940.164.76-0.367.285.162.15-1.489.2610.7715.308.5110.0715.219.65-2.738.863.8518.87-3.6413.0815.0818.460.0120.9921.7918.52
10.967.9913.6712.3212.153.795.473.130.72-3.081.313.538.556.592.4610.055.750.94-5.23-1.12-0.29-1.63-13.00-2.451.230.53-12.201.795.980.834.080.639.794.963.026.940.164.76-0.367.285.162.15-1.489.2610.7715.308.5110.0715.219.65-2.738.863.8518.87-3.6413.0815.0818.460.0120.9921.7918.52
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10.907.8613.5312.0511.943.534.562.920.55-3.201.173.418.066.462.559.955.530.798.18-0.39-0.55-1.80-13.15-2.660.960.38-12.431.455.790.643.850.069.304.792.206.150.734.40-0.307.365.002.04-3.2810.0511.0515.498.649.9915.159.56-3.008.323.5518.60-2.5013.1715.5017.99-0.2519.4921.8016.82
7.705.449.438.348.042.192.002.580.36-2.62-0.301.625.554.451.097.013.920.584.55-0.32-0.61-1.58-12.21-2.100.630.24-6.660.843.260.391.59-0.216.772.931.113.020.332.21-0.083.372.261.02-1.797.106.089.705.176.809.975.65-2.185.821.4611.13-1.606.208.2911.881.168.8817.4911.27
0.580.540.520.510.540.540.520.520.480.480.440.420.460.470.420.430.440.450.410.390.400.430.410.390.420.450.410.430.470.470.460.440.470.500.460.450.450.460.480.460.460.440.410.370.390.420.390.380.380.370.330.330.340.330.280.280.270.280.200.300.280.28
4.244.073.333.192.893.192.903.323.293.303.022.982.953.172.762.852.722.822.822.602.572.813.082.722.822.762.752.602.773.102.682.402.302.653.002.983.713.434.003.133.243.053.152.021.982.232.482.472.382.563.011.962.262.052.952.072.102.192.212.242.182.26
3.342.893.033.063.463.163.133.143.012.873.012.893.072.943.193.123.002.683.143.072.622.852.552.222.382.622.382.582.962.573.052.742.852.922.862.742.682.842.622.382.562.162.272.012.322.032.362.042.142.252.041.892.042.051.891.861.801.801.402.092.102.23
26.9231.1429.6729.3925.9828.4628.7728.6929.9331.3929.8531.1929.3530.6628.2628.8530.0533.5228.6529.3034.3931.5635.2640.5637.8734.3937.7834.9530.4334.9729.5232.8531.5330.7831.4832.8133.5631.6834.2937.8835.1941.6039.6244.7338.7844.3138.1944.0441.9940.0944.1047.6844.0243.8047.6848.4649.9249.8864.5043.0142.9440.38
5.563.826.576.106.051.701.511.950.24-1.85-0.190.983.242.710.603.932.200.342.44-0.17-0.33-0.91-6.63-1.140.370.15-3.750.502.090.260.99-0.134.422.080.721.930.221.44-0.052.221.500.68-1.093.893.375.672.733.655.533.02-1.042.880.765.54-0.702.623.475.190.374.288.175.44
7.625.389.499.169.482.792.523.150.40-3.11-0.321.584.353.690.855.433.090.483.48-0.25-0.48-1.32-9.62-1.680.550.23-5.540.733.030.381.47-0.206.663.231.133.000.342.30-0.093.572.461.14-1.876.655.9710.145.177.1311.306.36-2.286.311.7512.95-1.736.058.2212.450.9611.6423.9016.45
4.452.934.864.264.371.171.041.330.17-1.26-0.130.682.542.100.463.051.710.261.85-0.12-0.24-0.68-4.95-0.830.270.11-2.710.361.520.180.74-0.093.171.480.501.370.151.02-0.041.551.050.45-0.742.622.364.072.012.573.812.11-0.711.920.503.68-0.451.732.263.340.232.634.933.17
5.563.756.415.645.541.541.361.760.22-1.65-0.170.863.072.560.563.712.200.322.29-0.16-0.30-0.82-5.81-1.000.330.14-3.520.471.960.230.88-0.123.871.810.621.660.181.23-0.051.881.260.57-0.903.213.025.092.433.234.852.63-0.892.470.654.73-0.592.222.924.360.303.486.514.20
4.604.324.113.813.563.333.253.263.173.133.183.183.203.093.002.982.862.802.752.682.682.692.682.852.882.882.913.033.073.002.992.952.962.832.792.842.782.782.732.792.742.672.632.662.552.552.412.352.262.222.152.182.122.112.032.092.052.031.941.911.841.69
0.530.101.120.800.360.200.250.23-0.03-0.040.350.370.230.080.410.340.12-0.070.240.310.130.080.150.140.130.050.240.260.210.140.320.280.12-0.060.410.270.290.130.310.230.130.030.360.220.310.050.400.370.250.090.250.160.050.070.340.240.140.070.450.330.200.10
0.28-0.060.840.600.230.080.030.07-0.14-0.060.230.270.160.040.290.270.08-0.090.200.310.110.07-0.02-0.010.010.00-0.090.020.060.070.130.140.03-0.080.310.190.220.070.090.040.02-0.02-0.12-0.250.270.030.320.320.220.080.160.080.010.050.200.140.060.030.350.270.160.08