MSA Safety Incorporporated Financial Ratios for Analysis 2009-2024 | MSA

Fifteen years of historical annual and quarterly financial ratios and margins for MSA Safety Incorporporated (MSA).

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
2.362.542.402.582.502.332.152.142.002.032.622.462.672.632.58
0.370.380.420.250.310.350.430.390.470.310.310.370.430.450.16
0.620.620.720.360.480.570.790.700.900.470.470.590.780.830.22
47.6744.1043.9544.1745.5545.0545.0345.4344.3145.4544.6744.6341.4838.2837.41
12.9415.651.6312.7513.4312.773.3113.9810.8511.8412.7413.0811.348.189.05
12.9415.651.6312.7513.4312.773.3113.9810.8511.8412.7413.0811.348.189.05
16.3419.345.2215.6916.1415.566.4717.0513.6614.4815.5015.9114.2811.1512.04
11.5615.611.6912.4713.2511.952.4913.229.8211.2210.8011.539.045.847.13
3.2711.751.529.199.839.132.178.006.267.817.948.086.253.844.69
0.820.640.580.700.810.840.710.850.790.900.901.011.000.821.05
3.202.522.803.074.134.774.286.095.005.034.504.564.634.034.63
6.075.145.515.345.505.544.905.494.865.295.315.675.424.655.16
60.1770.9566.2668.3066.4165.8574.4766.5375.1668.9968.7964.3367.3778.5570.70
6.0819.522.6214.8319.1019.674.5016.8812.9716.1014.9418.8315.438.639.94
80.10845-19.9151.52112222-1,000.2262.3676.8233.8130.6650.6437.3020.2412.22
2.707.560.916.528.007.781.606.954.686.816.897.916.033.264.95
3.8012.061.5211.0313.1212.762.5710.176.8310.9910.2011.848.704.758.31
24.5923.5621.2421.6918.8616.6015.7614.8713.8414.3815.3812.7211.9812.4912.21
2.354.005.055.264.216.775.953.551.472.842.964.062.310.873.37
1.342.883.804.023.286.025.343.360.722.042.023.742.000.342.79

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
2.452.512.362.622.842.842.542.472.512.472.402.152.422.492.582.612.462.662.502.622.672.532.332.192.152.312.152.112.022.452.142.752.312.262.002.471.892.012.032.582.702.502.622.552.662.382.462.662.422.562.672.712.782.702.632.132.092.382.582.332.362.25
0.350.360.370.450.490.520.380.420.420.410.420.420.270.290.250.290.300.330.310.330.350.350.350.360.390.410.430.420.290.320.390.450.450.470.470.430.330.340.310.310.320.320.310.360.370.370.370.380.380.400.430.440.440.450.450.140.160.160.160.160.190.20
0.570.600.620.850.981.130.620.720.740.700.720.740.390.440.360.440.450.520.480.530.580.570.570.590.670.730.790.760.450.510.700.830.820.880.900.750.510.530.470.470.480.490.470.570.610.600.590.620.640.690.780.810.800.830.830.280.320.270.220.280.350.39
48.2347.3148.0848.9747.8045.5544.5044.3844.1643.1843.4243.9344.8343.7042.3243.4445.0346.1345.0045.2146.0746.0044.8844.7945.3445.2144.4944.6446.0445.0546.2546.2845.9043.2242.6543.7645.4645.6444.8645.0845.9146.0344.4043.7145.4645.0750.2442.7043.3643.2744.6641.0140.6140.1038.2537.7438.0539.1937.2436.4337.7338.28
21.6119.3820.6421.0721.24-15.0815.9316.8516.5312.90-21.659.5210.2914.296.1013.5215.3617.2311.1916.9815.589.8611.6812.0813.7913.63-9.3713.474.677.0114.8814.3816.1810.299.979.6613.919.7912.9212.1812.379.6813.8412.1913.8610.8913.5110.7214.2313.8511.9411.6411.839.967.859.308.876.608.908.249.959.13
21.6119.3820.6421.0721.24-15.0815.9316.8516.5312.90-21.659.5210.2914.296.1013.5215.3617.2311.1916.9815.589.8611.6812.0813.7913.63-9.3713.474.677.0114.8814.3816.1810.299.979.6613.919.7912.9212.1812.379.6813.8412.1913.8610.8913.5110.7214.2313.8511.9411.6411.839.967.859.308.876.608.908.249.959.13
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20.4218.2920.0419.6219.56-17.0115.5815.9117.0213.73-21.689.0810.3315.046.0413.1315.2116.6811.1216.6015.269.9310.7111.5612.7712.89-10.4212.714.066.2014.8913.5315.029.218.548.7912.459.5315.279.8411.257.8812.049.9011.689.4410.739.5313.6611.958.5810.109.917.365.526.297.683.717.857.128.435.02
15.6214.0615.4214.6014.99-37.7111.6111.7612.8110.74-14.996.227.3811.814.209.2011.4612.798.6612.0311.387.136.8310.189.789.93-9.5310.834.345.428.428.6910.504.216.675.848.473.7610.547.007.965.288.767.348.407.158.186.719.248.157.136.576.554.803.943.954.992.305.124.795.473.30
0.210.190.230.200.200.180.190.160.150.140.170.150.170.160.200.170.180.200.220.210.200.200.230.200.210.190.210.190.210.210.220.190.210.190.220.200.220.200.250.220.220.210.240.230.250.240.210.250.270.260.220.250.240.230.240.270.270.240.270.260.270.26
0.750.710.880.700.690.620.730.610.610.580.830.760.810.790.910.680.770.941.121.001.001.021.270.991.051.041.251.021.191.241.541.131.231.271.421.031.041.021.391.041.010.971.181.041.171.090.871.151.191.110.961.131.061.061.181.061.131.011.221.030.980.89
1.551.481.681.511.481.421.491.531.401.361.611.551.511.371.541.331.311.301.471.411.361.291.481.401.421.281.421.311.321.281.411.311.361.181.341.291.311.251.451.371.351.301.391.281.331.261.201.281.321.311.181.441.351.281.371.251.251.221.351.221.221.15
58.2060.7753.5459.4160.8163.2160.3158.7864.1366.4155.7658.0659.7565.6458.4867.8068.7369.3861.1863.6966.0669.9460.9664.2263.5070.1663.4968.9268.4170.5763.7068.5766.3576.5367.0369.6068.6272.0162.1865.4866.6069.4364.9870.2967.7471.6274.7070.0668.4168.5775.9962.3966.5870.2365.9371.8871.8073.6366.4574.0473.5778.10
7.015.877.937.548.11-19.605.605.355.724.15-7.402.583.014.471.983.644.896.124.546.055.833.543.955.195.265.10-5.445.222.112.564.514.675.372.463.702.904.421.776.053.153.712.304.303.673.063.893.364.035.995.253.244.284.022.892.662.242.841.192.892.642.991.92
47.3153.45104-327.29-95.25114242-97.18-66.61-50.3256.18-17.0110.6017.316.8715.5123.4835.4826.5839.2348.4929.2344.6148.9375.811021,2091806.868.7816.6618.2021.0711.5821.886.079.143.7712.706.097.224.648.837.4510.068.289.048.4112.9011.827.829.498.856.616.232.763.511.473.553.293.742.42
3.222.673.522.973.05-6.892.171.881.981.47-2.570.941.301.890.871.582.082.531.902.512.341.401.562.062.021.92-1.932.020.931.171.861.842.080.911.331.101.820.732.561.461.711.041.981.582.051.641.411.712.482.141.271.651.561.101.001.101.340.581.441.291.420.88
4.533.724.964.124.14-9.353.463.123.282.45-4.291.492.193.151.472.563.424.093.124.023.752.292.563.313.213.00-3.103.021.491.732.722.552.951.301.951.662.941.164.132.142.511.552.942.342.992.442.112.473.683.121.822.372.241.591.461.922.361.002.422.202.421.53
26.2725.2624.5922.1021.1519.6023.5621.4921.4221.8921.2421.0221.6621.0121.6920.0319.2518.5218.8618.2817.8517.1516.6017.1516.6316.7415.7616.3415.7615.2414.8715.1014.7314.4413.8414.0614.2613.8514.3815.7516.0015.5515.3813.6713.1912.9412.7213.2712.8612.6511.9812.9613.3212.4312.4912.3011.6511.9712.2111.7811.4310.78
2.631.292.35-1.67-4.84-7.294.002.641.010.625.053.302.131.165.262.812.120.354.212.250.960.036.774.771.680.455.954.893.772.503.550.820.33-0.291.470.260.20-0.442.841.340.410.252.961.730.580.164.062.401.750.912.311.040.510.290.870.04-0.33-0.183.372.421.530.63
1.991.001.34-2.39-5.24-7.502.881.910.510.423.802.381.620.924.021.981.610.183.281.660.62-0.096.024.401.530.375.344.613.632.463.360.870.50-0.030.72-0.19-0.01-0.642.040.700.020.062.021.060.13-0.043.742.181.720.692.000.550.150.090.34-0.41-0.57-0.272.791.851.130.39