MASTERCRAFT BOAT HOLDINGS, INC Financial Ratios for Analysis 2013-2024 | MCFT

Fifteen years of historical annual and quarterly financial ratios and margins for MASTERCRAFT BOAT HOLDINGS, INC (MCFT).

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
202420232022202120202019201820172016201520142013
1.991.911.571.481.020.790.730.590.410.460.810.97
0.200.200.270.460.670.590.570.721.233.321.071.46
0.270.280.390.862.221.571.432.93-6.23-1.86-17.42-3.18
18.3025.6326.2126.8520.7624.2627.1627.7627.5623.8721.1818.95
2.0817.6618.1116.88-7.327.1316.8314.669.9311.1610.477.42
2.0817.6618.1116.88-7.327.1316.8314.669.9311.1610.477.42
5.1319.2619.6318.67-4.268.9218.5016.2311.5412.7711.908.64
2.7617.7617.8815.99-8.715.7315.7813.698.365.664.791.72
2.1310.419.0712.05-6.624.5811.928.564.612.5811.221.74
1.151.872.161.691.751.871.882.742.692.391.851.86
6.778.458.086.3711.2211.5211.8414.1512.1014.1411.9811.60
23.0842.0628.5537.4732.8034.7760.3365.3274.5980.8140.3131.31
15.818.6812.789.7411.1310.506.055.594.894.529.0611.66
4.7447.0961.2254.22-49.2129.5375.50166-121.85-13.10-526.19-11.87
7.1670.5911331953.95-26.20-61.65-56.77-18.66-6.23-39.40-3.98
2.7425.5529.6121.14-11.578.5822.4123.4912.376.1720.733.23
3.8137.4744.5729.50-16.1912.0432.3445.9928.3930.3537.205.46
10.9711.107.955.692.593.872.810.63-0.45-3.79-0.34-23.72
0.737.553.933.621.612.982.641.411.682.131.961.44
-0.235.853.272.290.852.232.361.191.481.841.661.17

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302013-06-30
2.011.992.022.112.081.911.811.881.731.571.421.481.501.481.140.951.011.021.500.790.840.790.790.890.770.730.700.620.780.590.750.610.520.411.401.421.100.46-----
0.220.200.190.200.200.200.220.240.270.270.310.360.410.460.470.540.600.670.720.520.560.590.590.660.540.570.670.770.610.720.890.941.041.23---3.32-----
0.280.270.260.270.270.280.310.340.390.390.480.590.720.861.021.311.642.222.701.201.401.571.542.131.271.432.203.481.762.938.6616.59-31.30-6.23----1.86-----
18.059.7919.1718.8323.8325.7625.5424.0127.1228.9926.0325.1823.4133.8625.1824.6725.2814.5020.7421.2223.2625.6424.4222.2824.7829.2225.9925.4127.9228.2125.5227.9429.3426.2927.7827.8328.2923.3623.7424.0324.38--
1.54-18.084.187.0511.1917.5317.4016.6219.0122.6118.6616.3612.5426.8915.2614.2812.92-4.74-46.0010.3711.56-9.4014.3812.1112.4019.8416.2013.7517.0118.107.3213.7719.1714.4213.175.047.1812.382.0015.1715.31--
1.54-18.084.187.0511.1917.5317.4016.6219.0122.6118.6616.3612.5426.8915.2614.2812.92-4.74-46.0010.3711.56-9.4014.3812.1112.4019.8416.2013.7517.0118.107.3213.7719.1714.4213.175.047.1812.382.0015.1715.31--
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1.85-17.004.847.6211.6917.9117.7016.5918.7722.4118.4616.1112.2425.3414.7513.5511.94-7.44-47.069.1310.34-10.7712.9310.4311.4218.8515.2512.2916.2517.186.3612.7618.1616.2413.084.86-0.528.02-0.277.617.36--
-7.87-10.423.925.926.5713.6113.5012.362.405.8312.3610.677.9517.2811.8810.539.22-5.55-35.806.907.85-8.199.948.389.0413.7712.2110.2110.8310.833.837.8811.518.938.583.39-2.364.630.192.792.70--
0.210.240.280.300.280.470.490.530.600.660.580.530.470.350.580.520.490.250.410.410.430.490.470.450.510.540.530.470.680.700.620.610.730.650.510.540.570.61-----
1.441.881.871.881.292.122.252.401.802.391.521.381.321.182.462.592.381.702.192.662.412.983.233.413.243.303.423.204.053.593.663.243.402.973.483.533.163.64-----
4.416.457.1011.325.7810.588.9223.608.648.787.9315.286.527.6913.239.706.574.626.4716.2110.269.167.0916.319.3817.3015.5440.929.7016.667.3816.7911.6817.9713.0124.7913.7920.68-----
20.4013.9612.677.9515.568.5110.083.8110.4210.2611.355.8913.8011.706.809.2813.7019.5013.915.558.779.8312.695.529.605.205.792.209.285.4012.205.367.715.016.923.636.534.35-----
0.58-5.201.943.074.4512.0012.9312.5017.0923.3517.9114.3910.4217.4419.4217.3616.24-5.80-71.497.8310.63-13.9115.5914.8214.5525.0329.3129.3437.0353.6942.62143-456.11-56.927.352.90-2.37-6.00-----
0.89-7.852.844.556.6417.9920.4021.0631.2843.1648.3347.3940.74103-67,586.53-64.22-28.536.3685.23-10.76-12.0212.34-12.31-8.68-14.56-20.44-14.46-8.74-25.92-18.32-5.47-9.27-14.59-8.7224.1910.32-14.12-2.86-----
0.33-3.011.121.792.556.516.736.678.7411.298.326.594.396.806.855.514.53-1.36-14.672.803.35-4.044.643.754.647.436.474.757.427.582.364.778.365.784.341.81-1.342.83-----
0.45-4.181.572.473.559.5510.069.4612.5217.0012.299.166.159.4910.227.996.54-1.91-20.313.734.63-5.676.444.996.7010.729.546.8314.5614.844.879.0016.7813.267.352.90-2.3713.91-----
10.4510.9711.5811.3511.1211.1010.028.998.017.957.456.676.195.694.773.803.112.592.724.664.313.874.373.673.112.812.091.461.020.630.280.15-0.08-0.453.593.593.10-3.79-----
0.150.731.321.09-0.537.555.914.381.033.931.910.65-0.713.622.861.590.391.611.281.060.282.982.111.480.182.641.941.200.541.411.140.690.271.681.200.620.182.111.831.410.210.000.00
0.01-0.230.570.62-0.715.854.853.710.693.271.480.39-0.852.291.610.590.280.850.550.450.052.231.561.160.002.361.801.130.521.191.050.640.251.481.070.540.141.821.611.270.13--