Paul Mueller Financial Ratios for Analysis 2009-2024 | MUEL

Fifteen years of historical annual and quarterly financial ratios and margins for Paul Mueller (MUEL).

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
1.471.031.491.631.221.201.251.201.191.08-0.940.98-1.07
0.130.190.280.380.330.440.460.130.140.08-1.110.61-0.52
0.160.260.430.700.681.150.990.420.501.04--9.861.59-1.09
30.7820.4923.3227.5327.7625.3229.1626.6229.2526.6730.2025.6830.67100.0026.43
-7.742.212.470.624.601.902.93-2.047.395.437.772.282.19100.001.14
-7.742.212.470.624.601.902.93-2.047.395.437.772.282.19100.001.14
-4.845.426.0211.807.774.776.351.6410.568.4311.232.282.19100.001.14
-6.732.424.630.734.361.551.99-1.937.064.997.281.821.34100.00-0.51
-4.321.883.79-1.273.341.31-1.38-1.364.823.4310.421.091.30-6.160.25
1.711.391.591.661.581.551.201.611.511.67-1.651.45-1.45
6.575.685.358.136.935.633.835.113.965.55-----
9.119.317.169.816.637.247.389.207.898.26-----
40.0839.2250.9637.2255.0750.4149.4639.6646.2744.21-----
-15.579.0118.77-8.3720.339.55-8.31-7.4927.1028.49--134.59---
-15.579.0118.77-8.3736.4120.16-18.19-13.4942.7060.30--134.5924.48-1.70
-7.372.626.02-2.115.282.03-1.66-2.187.255.73-1.811.89-0.37
-13.617.2713.48-5.1613.685.37-4.51-6.5123.4126.32-15.199.47-0.81
58.5036.9034.3225.5427.1023.1023.4025.3925.6619.51-----
3.9237.77-0.0823.7313.01-3.7010.258.8412.697.0511.150.000.000.000.00
-3.0229.44-4.8317.679.42-7.60-9.425.365.661.425.72----

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.381.471.471.211.141.071.031.231.281.351.491.481.581.521.631.481.381.231.221.131.111.061.201.171.171.131.251.221.171.191.201.271.191.191.191.201.131.061.08-----0.890.941.000.98-0.980.920.920.93-0.91--1.071.02--
0.120.110.120.140.160.180.190.260.280.280.280.330.330.400.380.310.330.330.330.340.350.390.440.430.460.490.460.330.240.130.130.140.120.130.140.150.150.060.08-----1.091.110.440.49-0.610.480.470.48-0.48--0.520.59--
0.150.140.150.180.200.230.260.390.420.420.430.540.540.710.700.470.530.540.680.610.860.911.151.201.321.290.990.650.550.360.420.620.560.410.500.750.790.061.04------11.66-9.860.770.94-1.590.910.870.91-0.92--1.091.46--
30.1531.3730.5531.7830.9629.81-15,077.7423.9622.7021,8618.8123.4631.1929.6819.9131.2031.2328.1330.2427.9627.9724.0125.6026.7723.0726.6429.8829.0029.5128.1723.1424.9328.1329.9227.2932.3430.2127.3326.2522.9830.5326.80100.00100.0029.46100.0025.9728.83100.0026.0432.7632.4732.28100.0022.13100.00-100.0025.46100.00100.00
12.7610.80-62.1712.089.747.477.192.780.08-3.25-0.48-2.707.744.71-18.809.569.653.228.583.587.63-3.45-0.763.073.281.451.316.412.940.30-2.09-11.442.083.537.556.679.665.353.933.5210.053.92-73.74100.004.85100.002.824.62100.003.952.730.351.55100.00-2.13100.0060.24100.00-0.42100.00100.00
12.7610.80-62.1712.089.747.477.192.780.08-3.25-0.48-2.707.744.71-18.809.569.653.228.583.587.63-3.45-0.763.073.281.451.316.412.940.30-2.09-11.442.083.537.556.679.665.353.933.5210.053.92100.00100.004.85100.002.824.62100.003.952.730.351.55100.00-2.13100.0060.24100.00-0.42100.00100.00
-------------------------------------------------------------
13.6411.39-60.8012.7710.638.588.632.63-0.45-3.565.23-3.1611.633.80-18.5010.189.482.798.523.297.30-3.76-1.052.802.751.21-1.386.172.49-0.08-0.67-11.741.813.327.616.518.835.063.223.189.583.67100.00100.004.24100.002.194.00100.006.470.01-1.930.13100.00-3.92100.00-18.63100.00-1.73100.00100.00
10.368.84-42.809.648.036.516.612.14-0.32-2.754.18-2.429.702.87-20.837.747.232.086.452.485.48-2.58-0.311.762.510.83-10.943.741.65-0.38-2.03-7.251.672.213.805.726.093.601.952.546.342.7023.806.913.42-3.191.853.173.158.16-0.32-2.82-0.83-13.83-2.722.35-11.601.26-1.513.25-1.84
0.490.350.420.390.410.390.430.360.360.330.400.350.410.390.450.380.400.310.440.360.400.310.350.330.430.300.300.350.320.340.360.380.380.340.370.310.400.360.42-----0.400.450.430.44-0.410.330.360.27-0.32-1.280.350.31--
1.991.321.611.351.371.331.871.030.980.981.621.211.371.472.421.691.671.201.881.221.541.031.271.161.530.970.961.250.981.061.191.271.080.861.000.791.04-1.41----------------------
1.902.002.222.372.452.432.872.232.141.721.821.941.962.062.642.552.421.841.861.811.551.491.641.381.891.681.872.081.771.892.041.831.851.741.951.502.09-2.08----------------------
47.3145.0640.6038.0436.7237.0531.3940.3341.9852.4249.3646.3545.8943.6434.1035.3637.2448.9848.4549.7858.0560.4654.8365.2347.7453.5648.2543.2550.9847.6344.1549.2248.7451.8046.1659.9443.01-43.28----------------------
------9.74---5.26-15.134.90-36.919.3510.362.6811.003.8710.04-4.17-0.512.785.401.31-16.595.001.96-0.46-2.48-11.242.232.695.297.9211.537.044.08------240.68107---------------
11.036.59-37.5910.339.898.399.742.95-0.45-3.165.26-3.4415.134.90-36.919.3510.362.6819.703.8710.04-4.17-1.072.785.401.31-36.315.001.96-0.46-4.46-11.242.232.698.337.9211.537.048.65------236.671077.1812.99-43.57-0.68-6.65-1.32--4.59-3.962.05-3.10--
5.063.09-17.783.753.272.552.830.77-0.12-0.921.69-0.864.011.11-9.322.942.870.652.850.902.18-0.80-0.110.581.070.25-3.321.320.53-0.13-0.72-2.730.640.751.411.802.411.310.82-----1.37-1.440.801.40-3.37-0.10-1.02-0.23--0.88--14.900.44-0.47--
9.715.84-32.988.868.336.887.852.17-0.32-2.283.78-2.3110.152.95-22.766.496.941.797.402.546.48-2.56-0.291.592.920.67-9.013.331.49-0.41-2.16-9.631.962.354.576.729.776.613.77-----22.58-12.064.056.70-16.86-0.36-3.56-0.69--2.39--0.98-1.26--
65.8562.2258.5049.0744.8140.2736.9030.5630.7332.6934.3227.7928.9424.2525.5435.7231.0727.3027.1024.6124.6821.6723.1024.7624.3424.3223.4030.2027.8825.7325.3923.6728.2327.4525.6623.4121.2318.4319.51----------------------
7.916.363.927.833.800.3537.7716.2010.204.33-0.081.24-2.51-0.9223.7320.2517.0813.5913.0113.146.887.40-3.70-7.09-10.49-6.2510.258.412.402.508.842.540.232.8612.694.457.423.297.035.896.424.3911.040.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
0.993.55-3.023.900.92-1.1229.4410.856.612.55-4.83-2.00-4.50-1.6517.6717.6416.3913.779.4212.285.427.42-7.60-11.01-13.55-12.37-9.42-2.09-3.521.855.36-0.61-1.991.815.66-0.741.650.631.413.134.483.475.66------------------