Matthews Financial Ratios for Analysis 2009-2024 | MATW

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

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
1.641.531.761.822.092.152.092.212.432.242.132.172.292.272.31
0.600.620.540.570.560.520.530.540.550.480.390.380.390.310.35
1.501.641.201.361.311.111.151.231.230.940.690.670.680.480.57
30.7129.6332.4333.2235.2936.4637.4637.5937.1235.4736.1837.3839.1239.3537.75
4.68-2.492.52-4.280.678.658.018.037.367.379.6010.2813.1914.1912.94
4.68-2.492.52-4.280.678.658.018.037.367.379.6010.2813.1914.1912.94
9.823.4110.513.666.5813.4512.4912.4511.7611.2413.4413.4816.2617.5116.81
2.18-5.910.55-7.10-2.486.116.356.436.295.978.149.2212.4613.4411.65
2.09-5.660.17-5.82-2.476.704.914.514.453.845.436.047.898.287.39
1.000.940.820.720.700.680.680.710.670.550.810.800.820.830.82
5.005.505.975.715.525.645.535.695.234.674.844.314.364.625.15
9.067.975.395.084.824.834.745.025.023.915.555.165.465.445.62
40.2745.7767.6771.9175.6875.4976.9672.7172.6893.2665.8070.8066.9067.0864.94
7.45-20.500.45-14.34-5.4112.339.369.338.625.589.8911.3715.6914.5413.60
-11.7425.56-0.7217.987.36-20.44-13.90-12.34-11.79-10.15-124.55-99.77-122.98235-4,500.87
2.07-5.300.14-4.23-1.784.543.293.162.952.144.474.846.697.226.28
2.98-7.780.20-6.18-2.405.964.424.263.892.916.027.029.579.988.82
17.2416.0820.2219.2122.9427.0824.5822.0722.3323.5820.0517.3916.4516.7514.48
2.544.045.095.794.174.634.584.264.253.183.942.963.403.583.00
0.992.254.104.672.973.283.203.002.802.163.031.772.622.872.37

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
1.661.821.881.641.631.571.731.531.931.812.011.761.881.851.781.821.871.942.102.091.962.012.042.152.052.082.102.092.132.102.562.212.262.522.622.432.202.372.472.242.372.492.352.132.212.212.132.172.192.312.342.292.362.522.362.272.152.212.312.312.252.13
0.620.620.630.600.600.600.620.620.570.540.560.540.560.560.560.570.580.610.570.560.520.520.530.520.550.540.540.530.540.570.570.540.560.540.560.550.470.480.480.480.370.380.390.390.410.430.440.380.380.380.390.390.330.320.320.310.320.330.350.350.350.37
1.651.651.691.501.491.521.661.641.311.201.301.201.271.261.331.361.431.631.351.311.151.151.161.111.231.231.231.151.241.351.361.231.321.191.271.230.920.960.940.940.620.660.670.690.740.800.820.670.660.650.680.680.520.490.490.480.500.520.570.570.580.63
30.8231.4529.4131.4129.3131.2030.9331.7828.6627.9830.0131.4632.0433.8032.4634.1533.6533.2931.7136.3436.1734.8233.7836.7037.0836.3935.5739.8936.9836.3436.4738.9538.0337.5235.7338.4437.1336.5536.2933.3637.2336.5335.3935.7336.4637.0035.4537.4538.5637.5635.9138.3039.7140.0238.4640.6439.8338.7238.0339.1339.3037.05
1.574.532.095.484.564.813.83-15.982.601.662.461.692.163.592.685.161.46-22.70-1.35-15.247.836.204.3211.959.557.545.249.779.447.045.4610.5210.647.203.408.897.515.527.454.1411.378.326.388.8212.279.787.319.0712.0911.218.7113.7515.1512.9410.5915.2716.1813.5011.4913.8315.5211.88
1.574.532.095.484.564.813.83-15.982.601.662.461.692.163.592.685.161.46-22.70-1.35-15.247.836.204.3211.959.557.545.249.779.447.045.4610.5210.647.203.408.897.515.527.454.1411.378.326.388.8212.279.787.319.0712.0911.218.7113.7515.1512.9410.5915.2716.1813.5011.4913.8315.5211.88
--------------------------------------------------------------
-1.651.68-0.673.191.722.611.10-18.170.930.30-6.030.020.241.470.512.85-1.21-26.06-4.30-19.144.853.840.969.606.964.902.696.219.795.473.648.869.265.561.706.808.903.705.592.1710.227.255.217.6410.748.415.497.9010.6410.278.0413.2514.2311.9010.1714.6215.1012.6911.0612.9914.8210.24
0.421.92-0.513.691.851.900.82-17.710.69-0.43-4.52-0.840.781.20-0.451.860.63-23.04-2.87-18.133.863.940.837.265.934.399.524.967.573.922.966.336.263.911.304.616.342.574.181.236.794.583.425.357.115.483.625.297.076.675.128.459.267.386.288.989.427.816.737.819.416.46
0.230.250.240.250.250.250.240.240.220.230.210.220.210.200.190.190.170.170.160.180.160.170.160.170.170.170.160.180.170.180.170.180.180.170.170.170.190.180.170.170.220.200.190.210.210.210.180.200.200.200.200.220.220.210.210.220.230.210.200.210.210.22
1.191.281.231.261.241.301.261.381.421.591.591.591.501.481.471.501.311.341.341.391.281.361.321.431.401.451.331.391.371.391.341.421.421.361.331.321.601.511.421.531.241.101.061.251.211.181.051.101.051.101.071.181.061.081.101.181.291.291.251.291.241.31
2.222.442.082.312.512.222.032.072.031.991.401.421.441.431.271.351.331.271.171.231.191.231.191.231.261.211.151.241.271.261.221.281.341.341.321.301.361.331.281.241.401.331.341.421.371.381.231.321.321.351.331.461.441.471.491.421.501.551.531.441.401.54
40.5636.8143.2838.9035.9040.5644.4043.5144.2845.1664.4363.5462.3363.1571.0966.5667.9270.7477.1773.1175.6373.1675.3473.2271.6574.4177.9872.6270.9771.4973.8270.4167.1867.1168.1169.3866.2067.4770.0972.7464.1267.5567.3963.2665.8765.0273.3468.3168.1566.4867.6761.8262.5861.3960.5163.3360.1758.0358.6662.4564.0958.60
0.351.77-0.453.371.661.780.72-16.620.49-0.31-3.07-0.580.540.83-0.321.210.31-14.65-1.44-9.941.701.790.353.402.922.124.232.473.852.111.483.333.421.920.632.323.091.211.860.613.291.971.412.573.512.831.632.423.403.122.454.414.293.242.694.184.613.653.073.824.283.12
-0.53-2.640.66-5.31-2.44-2.36-0.9620.73-0.760.535.400.92-0.77-1.110.42-1.52-0.3716.541.9613.53-2.84-2.94-0.57-5.64-4.25-3.09-6.13-3.68-5.31-2.50-1.89-4.40-4.26-2.70-0.83-3.17-6.05-2.19-3.54-1.105,679-59.23-26.82-32.40-23.56-15.90-7.65-21.26-33.81-35.01-20.87-34.5619865.6792.9767.3589.0921815,516-1,264.19202-205.28
0.100.48-0.120.940.460.480.19-4.300.15-0.10-0.96-0.180.160.25-0.100.360.09-3.95-0.45-3.260.620.650.131.251.010.731.480.871.310.680.481.131.120.670.210.791.200.460.720.231.540.920.651.161.481.150.651.031.461.371.051.882.071.631.342.072.241.721.441.772.061.45
0.130.67-0.171.350.670.710.27-6.310.21-0.14-1.34-0.260.240.37-0.140.520.13-5.66-0.62-4.420.810.860.171.641.330.971.931.171.750.920.641.521.490.880.281.051.630.620.970.322.081.220.871.572.061.610.921.502.101.941.492.692.852.201.832.873.122.452.002.482.771.97
16.4616.5916.5817.2417.1316.8216.6016.0819.3020.0920.4320.2219.8119.5719.6319.2119.2518.9122.8722.9426.9426.7126.4827.0825.9626.5225.7224.5823.6721.8621.3422.0721.6522.5421.8022.3322.8022.1123.2123.5817.9620.8920.5520.0518.5918.0117.7817.3917.2717.2516.4616.4517.6717.9216.9616.7515.4714.7914.6514.4814.4813.53
1.390.96-0.882.542.461.43-1.174.042.672.29-0.865.093.322.871.115.793.962.120.174.172.841.430.264.632.611.770.244.582.941.360.494.263.001.560.304.253.081.580.253.182.270.860.453.942.661.100.282.961.990.940.253.402.151.160.683.582.811.860.783.002.301.47
0.330.19-1.340.991.270.67-1.572.251.391.41-1.254.102.562.380.884.673.141.51-0.142.971.820.840.003.281.591.08-0.133.201.950.950.343.002.010.84-0.122.802.040.99-0.032.161.590.500.283.032.030.700.091.771.100.370.052.621.600.900.552.872.441.580.642.371.921.25