Monro Muffler Brake Financial Ratios for Analysis 2009-2024 | MNRO

Fifteen years of historical annual and quarterly financial ratios and margins for Monro Muffler Brake (MNRO).

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
0.560.580.760.922.341.101.071.071.011.041.231.201.221.181.251.43
0.350.370.410.430.540.350.370.400.330.350.310.370.140.130.290.33
0.590.630.740.791.220.570.630.710.520.560.470.610.170.200.430.51
35.4134.4235.4535.1137.9338.7638.6238.8540.8739.5038.4838.0040.2640.4540.9440.22
5.596.027.456.428.0910.5611.2911.3912.7812.2711.4710.0713.3212.3110.499.17
5.596.027.456.428.0910.5611.2911.3912.7812.2711.4710.0713.3212.3110.499.17
11.2511.8313.4213.2813.2715.1915.6615.7616.9916.2715.2813.8316.7515.8314.4813.46
4.064.315.693.935.918.369.179.5211.1711.1110.419.1312.6311.619.468.01
2.852.914.493.014.586.615.645.987.036.866.515.777.927.175.855.01
0.750.750.730.620.610.910.930.860.940.991.090.991.351.411.271.26
5.355.905.284.504.164.304.544.384.324.174.093.844.213.833.893.98
10999.7091.8743.0255.6859.4171.5368.14215349170142282350294143
3.363.663.978.486.566.145.105.361.691.052.152.581.291.041.242.54
5.725.627.864.587.9011.4010.1710.5912.4613.0513.0911.6616.6816.3614.2712.40
-40.42-67.21-300.4810117796.2011324469.2068.6946.7251.3830.4027.2525.8520.40
2.222.203.291.892.836.085.255.196.686.817.175.7610.7110.157.476.39
3.733.574.682.633.637.426.376.308.308.479.037.3414.4214.2310.098.27
21.9622.1323.3422.3922.0721.1019.1417.7816.6314.8813.2111.6810.609.2011.656.67
3.936.585.105.463.574.543.643.903.793.842.882.612.562.062.791.61
3.225.614.323.951.963.242.582.912.772.792.011.651.741.512.130.89

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
0.530.590.560.560.520.520.580.630.630.670.760.800.780.800.920.861.061.352.340.930.950.931.101.051.111.091.071.061.001.021.071.081.121.091.011.181.181.121.041.191.251.191.231.211.221.151.201.311.341.241.221.181.331.261.181.241.301.261.251.291.351.391.43
0.320.360.350.350.320.330.370.380.380.370.410.420.410.430.430.430.450.480.540.400.370.370.350.340.360.380.370.380.380.390.400.400.410.370.330.360.380.340.350.370.390.300.310.320.310.300.370.320.210.210.140.120.170.180.130.170.220.260.290.280.280.320.33
0.530.610.590.600.520.560.630.680.680.640.740.770.750.810.790.810.860.971.220.710.640.620.570.540.600.640.630.650.650.660.710.690.700.610.520.570.620.520.560.620.650.450.470.500.470.440.610.490.280.270.170.140.210.220.200.210.290.360.430.400.390.480.51
35.3037.2435.4935.4735.7034.9933.3933.8535.3934.9631.9035.2837.5936.8435.0533.7836.2235.4035.6937.7637.6640.4238.3338.0439.0639.6337.7337.4438.8340.5336.9936.6340.6641.6840.1239.0842.1242.1638.1838.1340.4341.3937.9037.9939.8138.2636.0236.5539.5840.2638.7238.3541.1642.9640.0739.1040.9441.7138.9638.3443.0744.0538.38
4.384.523.336.736.945.311.997.117.127.513.508.039.928.176.785.518.464.610.149.5910.2911.479.919.9011.2411.1810.6510.2512.1712.127.9711.4712.9813.3011.5511.0614.2614.2110.7211.8213.0713.5210.5312.4311.6511.217.899.8911.1811.6410.1612.8114.5415.869.5411.2814.0014.307.129.3312.8313.265.15
4.384.523.336.736.945.311.997.117.127.513.508.039.928.176.785.518.464.610.149.5910.2911.479.919.9011.2411.1810.6510.2512.1712.127.9711.4712.9813.3011.5511.0614.2614.2110.7211.8213.0713.5210.5312.4311.6511.217.899.8911.1811.6410.1612.8114.5415.869.5411.2814.0014.307.129.3312.8313.265.15
---------------------------------------------------------------
2.712.801.845.165.463.730.205.375.425.921.896.388.136.154.613.145.951.62-2.307.558.219.277.477.819.119.038.498.1410.0510.065.859.7111.2111.469.569.5312.7312.829.1710.8011.9212.589.3911.1010.7410.366.379.1410.4810.909.3912.1413.8415.248.7810.8213.3013.415.998.7211.8311.814.07
1.761.881.083.733.892.660.093.853.943.532.594.736.004.563.832.314.411.16-1.365.706.237.095.826.597.056.946.094.036.186.283.806.067.087.076.026.337.847.905.686.727.337.745.787.046.656.544.155.836.506.836.077.638.699.335.436.648.198.323.965.157.297.302.57
0.180.170.180.180.190.190.170.190.180.190.180.180.190.180.170.160.160.130.140.190.200.200.220.240.240.230.230.240.230.230.210.250.210.220.230.240.240.250.240.260.240.280.270.280.280.290.260.280.310.300.340.360.350.340.330.370.360.360.330.360.350.330.31
1.201.131.301.281.411.511.401.571.581.771.341.301.311.291.221.141.100.900.981.141.181.091.041.211.191.131.171.251.161.131.111.341.001.021.061.111.031.031.041.070.921.001.011.081.021.111.061.050.970.961.081.070.960.910.911.051.001.041.051.101.000.961.01
20.5424.3226.4220.8422.5023.1623.3825.4526.1729.5022.1723.2419.1118.4711.6712.9013.9311.9012.6817.6817.2418.2414.2215.2718.5216.7118.1116.0221.6422.4616.8125.0920.3539.1652.2836.8053.4757.9085.5773.5170.1978.4141.4968.6254.1369.6337.8973.7355.0567.2970.5968.2665.8871.0782.8279.7081.4280.3776.6072.4259.3361.0335.30
4.383.703.414.324.003.893.853.543.443.054.063.874.714.877.716.986.467.567.105.095.224.936.335.894.865.394.975.624.164.015.353.594.422.301.722.451.681.551.051.221.281.152.171.311.661.292.381.221.641.341.281.321.371.271.091.131.111.121.171.241.521.472.55
0.870.900.561.841.841.270.061.861.821.621.102.082.722.071.570.911.740.41-0.512.532.773.152.402.993.283.202.781.892.842.961.663.063.113.052.592.913.713.812.653.493.673.932.863.793.493.582.233.173.323.443.214.234.905.232.944.055.095.352.523.514.654.641.57
-5.87-6.20-3.98-13.40-25.15-15.49-0.70-27.99-49.2461.51-42.04-68.83-188.63-59.6134.6234.9634.869.90-11.5144.8429.9737.4320.2823.5531.6237.6530.9724.8942.8349.1638.2965.2474.6125.1814.4018.0427.6720.3413.9520.6821.5813.7710.2214.3912.2811.739.8111.117.517.835.847.739.049.984.906.908.789.694.576.348.328.652.58
0.340.340.220.700.750.500.020.720.730.690.460.861.130.830.650.370.700.16-0.181.101.251.431.281.621.721.641.430.961.431.480.821.511.521.591.391.521.892.021.381.761.812.181.572.011.861.931.101.682.012.072.062.723.053.171.832.472.952.961.321.882.542.420.81
0.590.580.371.201.260.850.041.141.121.020.651.221.601.170.900.510.960.21-0.241.521.731.981.561.982.091.991.741.171.761.810.991.841.851.921.731.872.322.531.722.182.252.751.972.572.392.511.402.142.622.732.773.724.084.312.563.383.993.971.782.533.363.151.04
21.7721.8721.9622.0622.2722.1322.1322.3322.5723.2223.3423.3023.0422.6422.3922.1022.1121.9522.0722.4322.0521.6321.1020.7320.1319.6019.1418.7418.5418.1517.7817.6317.4517.0316.6316.2915.9215.4314.8814.4914.1113.6613.2112.8612.4612.0911.6811.4011.2310.9110.6010.3910.019.679.208.988.678.2211.657.577.306.946.67
2.820.823.934.053.052.246.585.353.682.275.103.743.011.845.464.713.712.143.573.702.361.754.543.812.261.503.642.912.251.243.903.062.050.653.792.451.370.963.842.701.671.042.882.301.441.032.611.960.920.582.562.211.180.902.061.700.970.402.792.301.150.521.61
2.700.553.223.552.612.045.614.603.112.054.323.252.741.703.953.563.021.691.962.471.661.343.242.911.631.172.582.091.751.052.912.261.500.412.771.660.860.682.791.901.100.772.011.751.020.801.651.400.640.461.741.690.840.791.511.390.770.312.131.800.900.400.89