LSI Industries Financial Ratios for Analysis 2009-2024 | LYTS

Fifteen years of historical annual and quarterly financial ratios and margins for LSI Industries (LYTS).

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
2.051.962.061.762.482.782.612.363.263.193.623.934.654.923.854.70
0.200.160.340.350.010.250.250.24--------
0.270.200.550.530.010.330.330.31-----0.000.00-
28.3627.5624.0025.0224.0622.4226.0924.7125.9724.1821.8121.5122.4724.6521.9122.17
7.567.454.662.544.28-6.05-6.331.094.332.450.770.222.365.560.75-6.16
7.567.454.662.544.28-6.05-6.331.094.332.450.770.222.365.560.75-6.16
9.699.406.885.127.113.194.843.736.404.503.123.655.368.243.903.34
7.056.714.192.513.83-6.77-6.820.934.352.440.760.222.315.510.70-6.16
5.325.183.301.863.14-4.97-5.710.912.941.670.31-0.041.203.690.56-5.74
1.351.681.461.101.771.641.491.291.651.701.761.661.531.671.461.53
4.745.654.654.015.995.864.964.995.405.425.165.245.044.404.964.53
5.746.155.785.357.525.916.536.676.867.046.705.926.016.286.997.02
63.5959.3463.1968.1948.5161.7255.9154.6953.2251.8854.5161.6560.7058.1652.2251.99
12.2214.5110.174.477.63-13.62-14.031.876.103.600.67-0.092.167.160.99-10.28
34.2037.1543.2340.1711.24-21.24-26.664.736.804.080.77-0.102.578.461.20-11.57
7.168.704.832.055.57-8.12-8.511.174.852.850.55-0.071.846.150.82-8.76
9.7712.266.682.927.53-10.25-10.591.436.103.600.67-0.092.167.160.99-10.28
6.996.235.544.954.784.625.436.306.235.865.745.896.216.296.006.05
1.441.69-0.141.021.120.440.440.820.710.850.470.361.00-0.160.690.76
1.271.58-0.210.941.780.340.370.680.310.700.270.050.86-0.350.460.62

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.082.052.172.161.981.962.212.322.132.062.112.161.911.762.102.412.292.482.452.242.382.782.592.482.592.612.692.712.642.362.683.553.563.263.743.913.413.193.603.613.803.623.903.733.763.934.204.364.184.654.875.005.174.924.054.374.123.854.685.484.384.705.26
0.170.200.060.090.120.160.220.270.330.340.370.380.360.350.010.010.010.010.060.080.160.250.270.280.250.250.240.270.260.240.26---------------------------0.010.010.01--
0.230.270.090.120.160.200.300.400.510.550.610.630.590.530.010.010.010.010.060.080.190.330.360.390.330.330.320.370.360.310.34--------------------0.010.010.000.000.000.000.000.010.010.01--
24.3726.2328.8528.9329.6429.0127.4126.5127.3425.4624.3322.9023.0423.6125.0625.8026.1024.8422.4524.2324.6421.4221.0621.9525.0324.3525.2627.4227.1025.4623.5424.9924.7624.5523.3928.2527.1724.9523.7724.2623.7121.2619.8822.0123.7621.4121.0419.5323.9223.3321.1621.7023.6122.5725.2624.9325.8321.8616.6023.5024.5223.1518.67
6.616.987.087.178.938.286.587.027.895.634.693.984.181.082.903.523.152.913.712.147.71-0.34-3.12-22.643.45-2.550.944.93-28.370.60-0.993.291.272.571.036.356.712.880.852.633.23-1.47-1.371.983.531.19-0.76-3.814.053.990.151.773.333.443.846.218.290.46-7.134.233.69-1.64-8.08
6.616.987.087.178.938.286.587.027.895.634.693.984.181.082.903.523.152.913.712.147.71-0.34-3.12-22.643.45-2.550.944.93-28.370.60-0.993.291.272.571.036.356.712.880.852.633.23-1.47-1.371.983.531.19-0.76-3.814.053.990.151.773.333.443.846.218.290.46-7.134.233.69-1.64-8.08
---------------------------------------------------------------
6.026.116.896.788.407.725.906.087.105.004.263.493.880.932.773.613.212.972.621.967.13-0.94-4.17-23.332.84-3.100.444.47-28.830.12-1.203.311.282.601.066.366.712.880.842.623.22-1.48-1.401.973.511.20-0.80-3.794.023.940.101.723.263.353.836.168.270.42-7.204.183.64-1.63-8.06
4.844.394.975.426.506.813.974.984.934.063.292.792.940.202.042.892.842.382.622.125.051.06-4.35-17.632.06-3.190.28-1.59-17.870.83-0.682.340.991.770.744.474.362.160.571.871.95-1.08-1.461.142.321.18-0.48-3.452.452.11-0.601.122.022.023.273.945.351.14-4.742.292.42-0.51-5.25
0.400.370.380.380.410.420.400.430.400.410.350.370.360.340.370.420.390.370.390.440.440.410.350.400.360.360.350.390.370.330.310.440.440.410.370.450.460.420.390.490.470.430.410.440.470.410.390.420.420.410.360.390.380.420.360.420.450.370.320.410.390.330.31
1.471.341.281.291.381.381.261.291.151.281.061.191.211.261.341.631.391.231.261.441.551.471.111.291.281.241.141.381.301.241.231.521.451.381.171.321.391.331.231.531.321.281.191.261.421.291.261.331.281.321.181.321.061.140.871.271.391.251.091.271.140.960.97
1.661.581.521.471.481.531.631.881.661.621.481.581.641.651.501.601.481.561.491.811.501.471.361.561.391.591.581.551.611.681.601.731.821.721.841.941.861.741.941.921.721.651.791.831.711.451.641.861.661.591.671.651.551.591.691.831.901.761.672.081.751.511.51
54.1957.0859.3861.2660.9658.8255.3147.9954.2355.6361.0156.9854.9854.7060.0956.3160.8157.5960.5449.7460.2061.3966.2357.7264.6056.5356.9358.2555.8253.5756.1352.0549.4452.3049.0146.4448.4651.7746.4846.9752.3854.5050.2649.0852.7862.0154.9548.4954.2356.4353.7754.5458.1456.7153.2249.0647.3751.2853.9143.2751.4559.7259.71
3.162.772.713.064.304.742.783.984.073.502.542.242.310.151.121.711.561.201.491.413.630.72-2.63-12.691.24-1.910.16-1.03-10.820.43-0.331.270.530.920.342.472.521.150.281.131.10-0.58-0.720.611.310.57-0.22-1.721.221.01-0.250.510.870.991.401.972.890.50-1.771.091.12-0.20-1.88
8.237.765.736.7810.1012.138.0112.6614.9414.8812.4812.8615.641.361.592.452.271.772.222.125.541.12-4.14-19.752.31-3.630.29-1.96-20.461.10-0.851.410.591.020.382.762.831.300.321.281.26-0.66-0.830.701.510.66-0.26-2.011.441.20-0.300.601.031.171.672.363.490.61-2.171.341.39-0.22-2.12
1.911.631.872.052.662.841.602.171.961.661.161.021.050.070.751.221.090.881.020.932.200.43-1.52-7.010.74-1.160.10-0.62-6.530.27-0.211.020.430.730.272.021.990.910.230.910.91-0.47-0.600.511.080.48-0.19-1.461.020.86-0.220.440.760.851.171.662.420.42-1.510.950.95-0.17-1.63
2.612.222.542.793.784.002.172.892.742.301.611.391.480.101.111.691.541.191.401.303.060.54-1.93-9.140.93-1.440.12-0.75-7.960.33-0.251.270.530.920.342.472.521.150.281.131.10-0.58-0.720.611.310.57-0.22-1.721.221.01-0.250.510.870.991.401.972.890.50-1.761.081.12-0.20-1.88
7.096.997.066.876.686.235.925.745.535.545.355.225.094.954.954.904.844.784.774.744.734.624.644.815.475.435.545.575.656.306.296.316.286.236.206.216.075.865.845.845.755.745.825.925.945.895.915.856.256.216.216.286.306.296.276.226.146.005.956.096.066.056.10
0.391.441.070.660.351.691.100.690.37-0.14-0.45-0.59-0.281.020.890.490.281.120.640.790.240.440.240.290.080.440.300.00-0.110.820.510.180.010.710.590.210.120.850.880.44-0.010.470.440.350.170.360.470.400.141.001.040.820.37-0.16-0.010.10-0.100.690.500.330.020.760.61
0.361.270.920.550.311.581.040.650.35-0.21-0.50-0.62-0.300.940.830.460.271.781.341.210.700.340.150.230.060.370.270.01-0.070.680.490.07-0.060.310.270.080.060.700.780.38-0.010.270.270.240.120.050.240.270.090.860.930.750.34-0.35-0.17-0.02-0.170.460.340.24-0.020.620.56