Mueller Industries Financial Ratios for Analysis 2009-2024 | MLI

Fifteen years of historical annual and quarterly financial ratios and margins for Mueller Industries (MLI).

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
6.434.412.662.432.963.023.054.083.823.953.992.894.814.684.41
0.000.000.000.260.360.470.460.190.190.210.220.280.150.160.18
0.000.000.000.410.580.880.870.240.250.300.320.440.220.230.25
28.8528.0622.0318.0116.2514.2514.3616.1613.8213.5613.7313.0412.5013.8414.23
22.1022.0317.4010.257.876.906.667.516.546.5112.555.795.786.612.08
22.1022.0317.4010.257.876.906.667.516.546.5112.555.795.786.612.08
23.3023.1318.6112.139.648.498.179.258.217.9514.077.247.328.584.78
24.7122.0017.018.726.836.005.607.106.286.2612.575.505.385.921.49
17.6316.5312.435.824.154.173.784.854.184.308.003.763.574.180.30
1.241.782.181.571.771.831.721.421.571.781.731.981.791.641.31
6.406.386.836.246.976.525.927.127.567.977.408.309.658.466.94
9.7310.477.996.719.009.179.268.028.358.607.948.089.677.656.76
37.5234.8645.6954.4240.5439.7939.4345.5143.7342.4745.9745.1837.7547.7153.96
25.8536.5437.8017.9316.0418.9616.2310.6510.2812.8923.5515.559.8410.730.72
28.2241.3946.4025.8323.6730.4423.9212.8512.6515.2127.0119.3111.1312.270.84
22.0929.5627.489.407.757.806.596.896.607.7213.897.586.466.950.45
25.8436.5237.7713.2110.2110.158.848.678.3110.2518.3911.238.368.990.59
20.6615.9110.977.025.814.974.648.167.526.996.504.795.785.394.91
5.926.402.742.171.781.470.381.381.400.801.140.761.010.370.52
5.456.142.481.791.531.290.261.141.200.751.350.360.900.250.43

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
4.666.056.436.015.374.344.413.793.192.752.662.732.992.222.432.892.933.372.962.963.243.563.023.123.433.583.052.833.393.264.084.323.974.053.823.604.444.203.953.963.533.763.993.793.532.792.893.273.934.074.814.444.393.724.684.414.014.044.414.404.614.83
0.000.000.000.000.000.000.000.000.000.000.000.100.260.250.260.320.320.410.360.410.440.490.470.470.490.460.460.420.490.490.190.190.190.190.190.190.200.200.210.200.210.210.220.230.240.270.280.280.010.140.150.150.150.150.160.160.170.170.180.170.180.18
0.000.000.000.000.000.000.000.000.000.000.000.110.370.450.410.470.480.720.580.710.800.970.880.891.080.880.870.761.001.000.240.250.250.240.250.260.260.290.300.300.340.310.320.350.390.470.440.420.040.220.220.240.240.230.230.230.250.240.250.220.230.24
27.3428.3626.7629.3728.7330.1129.2628.1728.6226.2924.0224.2321.0218.3018.1019.1119.4015.6217.3516.0715.3716.4115.2312.2314.9314.7512.7814.3714.6415.4916.1016.1716.1816.1712.8512.7115.3414.2212.7413.5314.1513.6813.5113.7213.9413.7312.9512.5311.9914.6312.9110.5512.1114.2213.1713.7313.6514.8814.0315.6814.8012.00
21.0521.5918.4722.0823.4923.5921.7021.7123.3821.0618.0023.7615.5911.319.6211.1810.469.848.177.607.738.047.155.217.847.414.026.817.607.886.577.408.177.784.025.0510.006.655.546.267.426.674.5212.7124.796.675.074.765.028.114.303.225.609.205.556.095.369.70-1.606.623.75-0.75
21.0521.5918.4722.0823.4923.5921.7021.7123.3821.0618.0023.7615.5911.319.6211.1810.469.848.177.607.738.047.155.217.847.414.026.817.607.886.577.408.177.784.025.0510.006.655.546.267.426.674.5212.7124.796.675.074.765.028.114.303.225.609.205.556.095.369.70-1.606.623.75-0.75
--------------------------------------------------------------
22.3423.7224.2923.0526.8624.4521.1921.7923.5621.1217.9723.3814.9110.845.9110.4810.038.997.076.686.756.876.194.237.016.572.085.796.617.555.757.067.957.484.014.779.656.285.076.067.216.514.3312.6324.667.134.754.734.657.703.882.765.208.864.915.494.359.20-2.115.973.18-1.37
16.0516.2816.2816.1919.8117.8415.8316.3617.9615.6713.1317.4110.757.715.396.905.595.385.184.784.202.574.803.145.013.771.094.044.505.193.675.135.115.373.063.336.064.093.353.955.394.303.157.5415.654.683.253.023.025.642.631.793.425.903.373.732.887.00-4.054.451.64-0.76
0.330.290.270.310.350.390.390.450.560.520.550.570.570.480.440.440.380.420.400.430.470.410.410.450.440.480.400.440.470.440.330.360.380.390.350.390.410.410.400.450.480.450.390.420.480.490.460.490.470.400.360.430.480.500.420.400.430.390.370.350.320.29
1.781.711.411.481.371.501.381.491.721.581.691.842.081.831.761.851.651.881.541.841.881.481.441.811.911.661.391.662.071.941.641.691.821.861.721.861.691.871.831.851.921.771.681.952.252.121.912.002.282.091.952.441.932.552.182.302.522.221.951.981.851.68
1.912.002.082.001.951.932.312.141.881.722.031.991.871.831.891.931.831.952.011.902.101.982.042.101.981.992.141.992.131.851.841.711.781.931.881.791.811.741.951.811.771.801.791.691.901.801.861.971.991.831.971.861.991.951.961.821.891.891.891.861.771.72
47.1444.9643.2044.9246.1046.6539.0142.0347.8652.4344.4145.2648.1849.2347.6146.5249.2546.1044.6747.2642.7945.5744.0142.9545.3445.2442.0845.2442.1748.6048.8552.5350.5146.6047.9750.3549.7351.5946.0749.6450.8850.1350.1753.2547.2550.1148.4145.6945.3449.1345.7948.5045.1346.2445.9949.4847.7347.6647.5548.2950.7152.41
6.355.795.066.038.388.817.739.4213.4311.3310.0815.2911.397.524.655.954.135.104.534.874.742.954.923.585.924.401.114.295.506.011.792.783.083.231.642.134.012.772.273.014.443.292.045.7614.144.753.112.971.983.561.481.212.584.722.202.332.054.53-2.322.470.83-0.35
8.516.295.526.619.309.868.7610.8015.6913.5712.3719.0815.2410.496.708.956.017.586.687.407.384.677.905.678.606.491.646.438.378.782.163.383.763.962.022.644.563.172.683.455.143.912.346.6616.855.853.863.702.234.001.671.372.915.352.522.672.365.23-2.692.980.83-0.35
5.334.904.325.096.977.066.257.3910.148.187.339.976.203.842.443.102.152.352.192.172.021.162.021.472.261.820.451.822.152.331.161.831.992.111.051.322.521.691.361.832.611.951.203.177.592.311.521.501.462.270.970.791.672.931.431.481.272.81-1.451.570.53-0.22
6.355.795.066.028.378.807.739.4113.4211.3210.0713.818.375.653.434.062.813.002.882.882.651.502.631.913.002.360.612.482.803.061.462.272.502.621.331.723.232.211.802.403.532.591.594.4410.723.462.252.131.973.041.261.032.193.991.841.951.703.76-1.912.040.68-0.29
22.6921.5520.6619.8318.8717.4415.9114.5513.6212.2810.979.828.527.607.026.486.085.865.815.485.335.144.975.044.974.804.644.584.394.408.168.168.047.767.527.427.417.096.997.106.996.696.506.145.774.954.794.696.106.035.785.795.825.685.395.315.185.094.915.075.014.84
2.411.525.924.382.200.996.404.581.810.552.741.600.08-0.202.171.751.270.251.781.170.57-0.221.471.070.32-0.230.380.470.11-0.101.380.620.370.091.400.840.150.030.800.04-0.45-0.391.140.620.44-0.130.760.480.11-0.071.010.45-0.260.170.370.400.210.240.520.560.450.24
2.221.405.454.031.950.926.144.391.670.562.481.39-0.06-0.271.791.491.070.101.531.000.46-0.281.291.080.32-0.270.260.420.02-0.161.140.530.290.041.200.690.06-0.030.75-0.17-0.57-0.431.350.900.27-0.190.360.19-0.04-0.130.900.37-0.310.140.250.310.150.210.430.490.390.21