La-Z-Boy Financial Ratios for Analysis 2009-2024 | LZB

Fifteen years of historical annual and quarterly financial ratios and margins for La-Z-Boy (LZB).

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
1.911.801.411.511.792.272.862.603.063.083.123.343.343.272.902.76
-----0.000.000.000.000.000.000.020.020.080.120.15
----0.100.000.000.000.000.000.010.020.020.100.140.20
43.0741.0637.3342.6842.3440.2539.3240.0838.3535.3934.2232.7231.7829.8531.6427.55
7.379.008.777.886.977.438.178.778.227.246.585.314.172.183.43-7.59
7.379.008.777.886.977.438.178.778.227.246.585.314.172.183.43-7.59
13.4613.9713.569.7910.389.2110.1710.699.958.808.297.126.194.235.57-5.62
8.108.768.728.416.765.468.148.608.207.416.755.555.052.193.65-7.82
5.996.416.376.144.553.935.115.625.174.944.033.597.401.992.72-10.01
1.071.261.220.971.191.651.771.711.911.841.761.771.702.001.942.23
4.435.014.874.405.415.305.205.205.365.876.075.865.546.026.086.34
14.7018.7212.8312.4517.1512.1810.2810.0810.418.998.897.966.987.367.158.30
24.8219.5028.4629.3321.2829.9635.5036.2235.0740.6041.0445.8552.3249.5951.0744.00
12.3015.9618.5913.7511.0310.0613.0514.4714.5312.8811.369.5918.764.779.14-39.95
16.5821.4725.7718.6715.0014.5815.3417.1115.8313.4011.779.9418.894.819.22-40.36
6.518.147.886.025.506.629.149.7910.128.877.806.5512.252.935.16-22.29
12.3015.9618.5913.7511.0310.0613.0514.4614.5212.8711.359.4418.434.418.04-34.14
23.8821.9819.0217.2415.6214.8413.3612.4011.3010.5110.199.398.577.026.635.95
3.654.741.786.683.513.182.402.992.261.661.691.271.580.531.731.02
2.533.160.565.932.772.201.682.601.830.491.100.881.290.341.590.90

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.901.911.931.951.891.801.671.561.441.411.351.421.441.511.611.621.661.791.841.771.802.272.041.882.762.862.592.652.802.602.622.973.103.063.102.923.213.083.103.113.193.123.173.213.443.343.373.553.813.343.503.463.653.273.223.213.292.902.892.812.942.762.51
---------------------0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.020.020.020.020.020.060.060.070.080.100.100.110.120.120.130.130.150.20
----------------0.070.10---0.000.030.050.000.000.000.000.000.000.000.000.000.000.000.010.000.000.000.000.000.010.020.020.020.020.020.020.020.020.070.070.080.100.130.130.130.140.150.150.160.200.28
43.0543.3742.6243.5342.7144.3041.1340.8138.2434.3438.3838.7738.5142.7542.8043.6840.7646.7541.9540.7840.5541.8240.6139.7038.6139.5739.2939.4138.9640.9240.2139.6739.3940.0338.5438.0836.3935.6136.2035.5334.1033.5735.1534.8333.2137.0133.0031.1229.7235.9131.5331.1328.8931.8830.2629.0527.6632.3532.0531.4130.6032.3027.41
6.539.056.516.577.179.637.4810.128.7111.516.919.406.559.647.3210.441.523.6610.996.625.668.198.736.496.0210.888.008.724.5610.538.618.996.598.929.068.725.857.887.528.265.046.387.477.414.838.596.713.282.536.085.383.981.243.613.421.82-0.634.804.513.090.941.46-23.62
6.539.056.516.577.179.637.4810.128.7111.516.919.406.559.647.3210.441.523.6610.996.625.668.198.736.496.0210.888.008.724.5610.538.618.996.598.929.068.725.857.887.528.265.046.387.477.414.838.596.713.282.536.085.383.981.243.613.421.82-0.634.804.513.090.941.46-23.62
---------------------------------------------------------------
7.269.787.187.367.898.207.6210.328.7711.356.779.556.499.908.7110.392.043.829.856.975.580.998.536.016.3810.667.828.535.1110.298.588.766.398.209.088.866.458.287.788.324.996.677.737.355.028.807.433.322.479.495.753.871.403.613.711.55-0.634.685.632.960.941.34-23.75
5.287.105.725.325.716.125.547.546.378.404.986.864.687.226.227.611.680.627.255.054.370.356.144.564.748.202.915.793.256.755.945.504.035.405.685.444.015.334.995.343.983.384.764.753.105.705.022.051.467.344.642.5115.942.983.361.32-0.084.303.581.940.741.47-22.37
0.260.290.260.270.260.300.310.330.310.350.300.310.290.290.270.280.190.260.330.320.300.430.440.420.420.470.460.450.410.460.450.460.430.520.490.490.450.480.470.470.430.460.450.470.430.430.480.470.450.380.480.480.450.570.490.500.460.510.520.530.480.520.48
1.041.191.041.081.021.131.111.061.121.481.121.231.221.321.271.370.941.081.391.291.241.341.271.231.211.371.351.321.221.391.201.221.171.421.291.311.211.541.431.491.341.601.411.451.291.331.431.311.271.171.621.481.341.671.431.481.371.591.431.481.281.371.22
4.093.984.193.814.344.474.163.823.873.733.513.313.713.733.643.582.933.703.102.883.083.173.132.922.772.732.822.712.652.742.722.602.642.852.692.502.522.362.402.342.342.312.282.212.191.942.082.092.051.572.001.901.892.101.891.731.751.881.921.851.911.921.88
21.9822.6321.4723.6520.7120.1321.6223.5623.2524.1625.6727.1924.2824.1424.7425.1630.7024.3529.0731.2129.2428.4228.7830.8332.5133.0131.8833.2334.0032.9033.0534.5534.0631.6233.4735.9335.7738.0637.4938.5038.4738.9139.4640.7541.0046.4843.1843.0043.9657.3545.0547.3647.5142.8347.5651.9151.3747.7946.8048.7547.1346.7747.84
2.653.982.902.842.903.643.455.294.617.033.715.143.314.853.754.680.650.474.763.222.580.244.343.133.025.502.043.841.954.704.033.692.514.124.033.992.653.773.463.702.002.823.443.422.003.813.521.471.043.383.531.8311.161.862.350.91-0.273.873.211.670.651.31-20.06
3.615.373.913.833.914.904.707.296.449.755.247.024.526.595.096.430.890.646.744.623.720.356.394.663.556.462.424.532.305.554.784.112.764.494.364.312.763.923.593.832.072.933.583.552.083.963.661.531.043.403.551.8411.241.872.370.92-0.283.913.241.690.651.32-20.59
1.402.111.501.471.511.861.712.522.032.981.512.181.402.121.702.140.310.242.411.651.320.162.751.932.093.851.372.631.353.182.732.561.762.872.822.761.852.592.392.551.401.942.342.331.392.612.371.000.702.212.321.197.301.141.410.54-0.162.191.820.940.370.73-10.61
2.653.982.902.842.903.643.455.294.617.033.715.143.314.853.754.680.650.474.763.222.580.244.343.133.025.492.043.841.954.694.033.692.514.114.033.982.653.763.463.702.002.823.443.422.003.763.471.451.023.323.311.7210.401.722.110.82-0.243.412.821.460.561.12-16.02
24.0523.8823.1822.7122.3621.9821.2420.4919.6119.0218.0317.7817.1317.2417.0116.3715.5515.6215.8315.3014.9514.8414.3813.8413.4213.3612.8112.7112.4912.4012.0111.6711.3511.3011.0510.8110.5310.5110.3610.2510.0310.199.919.719.429.399.148.868.668.578.418.077.907.026.876.696.646.636.446.256.095.956.22
1.233.652.441.310.604.742.950.720.771.781.030.350.146.685.344.222.313.512.571.150.413.181.940.980.682.401.911.060.402.991.881.090.722.261.380.430.031.661.060.60-0.021.691.180.610.251.270.63-0.05-0.291.581.070.330.060.530.21-0.36-0.231.731.130.700.271.020.35
0.872.531.670.790.383.161.62-0.220.280.56-0.21-0.31-0.295.934.773.892.102.772.050.660.152.201.190.410.351.681.420.730.222.601.570.890.621.831.040.20-0.090.490.14-0.04-0.371.100.790.380.220.880.25-0.25-0.371.290.850.180.000.340.06-0.45-0.281.591.060.680.270.900.23