MUELLER WATER PRODUCTS Financial Ratios for Analysis 2009-2024 | MWA

Fifteen years of historical annual and quarterly financial ratios and margins for MUELLER WATER PRODUCTS (MWA).

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
3.232.822.973.753.184.104.733.303.272.493.112.913.073.463.38
0.390.400.390.410.430.440.490.530.570.580.650.730.640.630.63
0.630.670.640.700.750.790.981.151.331.541.832.691.791.711.70
29.7529.2032.2734.0433.1531.6532.4333.5931.0429.3727.9426.4825.7227.0017.99
9.998.9511.8512.1112.8413.2912.3614.0110.0310.488.686.265.467.26-70.10
9.998.9511.8512.1112.8413.2912.3614.0110.0310.488.686.265.467.26-70.10
14.8913.8017.2218.1118.3218.0617.4318.9515.5015.2613.9612.1812.0114.10-63.78
8.547.908.549.768.4810.459.508.662.626.203.940.26-1.34-0.30-75.85
6.706.146.347.476.5911.5314.937.983.894.683.64-10.59-3.95-4.71-69.80
0.850.830.730.690.720.710.660.630.650.900.870.830.650.610.82
3.013.174.073.913.384.004.024.072.504.233.874.114.072.613.42
5.885.475.245.335.605.585.686.074.536.516.816.166.544.746.60
62.1266.7169.7168.4565.1665.4764.2160.0980.6556.1053.5759.2155.7877.0255.29
12.0211.4410.1311.2410.7718.7011.0910.753.4015.7910.79-2.25-2.64-1.33-228.44
30.1336.5637.5954.5510173.03108-298.68-8.96-30.49-15.741.494.482.38438
5.685.114.645.164.778.174.323.521.024.232.76-0.42-0.67-0.34-57.30
7.386.876.176.626.1510.465.635.021.476.563.82-0.61-0.95-0.49-85.57
4.564.294.404.053.763.593.092.592.292.202.071.472.432.622.84
0.700.330.980.880.580.830.370.700.360.910.710.490.340.631.12
0.43-0.020.590.460.050.530.120.510.220.710.490.290.190.850.83

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
3.703.533.293.233.463.503.152.823.263.213.152.973.353.834.243.753.693.874.113.183.153.073.144.105.135.756.194.735.906.224.913.303.593.743.733.273.423.403.442.492.903.804.063.113.433.353.052.913.213.043.323.073.273.384.093.463.603.454.313.384.044.74
0.360.370.380.390.380.390.390.400.390.390.390.390.390.400.410.410.420.420.430.430.440.450.450.440.450.470.470.490.510.520.530.530.550.560.570.570.590.610.600.580.610.650.650.650.700.710.720.730.700.730.650.640.630.630.640.630.630.630.630.630.740.76
0.570.590.610.630.630.640.650.670.640.630.650.640.650.670.680.700.730.740.750.750.790.810.830.790.830.900.900.981.041.081.141.151.231.301.331.331.461.561.541.541.751.841.871.832.312.442.612.692.342.671.851.791.721.711.751.711.721.701.721.702.883.17
36.8436.9033.6629.3330.6529.3829.6125.8329.5029.8932.1729.1933.9533.0533.0235.3933.1333.3734.1533.2735.4431.9731.1733.6229.7831.9531.0735.7035.5726.2930.9836.5537.0330.0729.185.5331.9628.2827.2331.5930.5528.5326.0730.2930.0627.3023.3027.2528.8524.6924.5117.8028.1624.6717.2520.6818.7812.6617.8518.4615.9117.04
18.7817.978.898.2610.909.8810.803.5011.0711.0110.619.4013.7512.4911.7115.348.7513.899.5514.6117.219.498.2515.9312.2312.8211.6114.8118.525.668.4926.4810.0610.706.99-24.1210.478.823.0913.4113.128.785.4411.3210.998.582.827.799.324.212.741.959.514.16-1.504.073.33-7.590.103.44-2.34-191.87
18.7817.978.898.2610.909.8810.803.5011.0711.0110.619.4013.7512.4911.7115.348.7513.899.5514.6117.219.498.2515.9312.2312.8211.6114.8118.525.668.4926.4810.0610.706.99-24.1210.478.823.0913.4113.128.785.4411.3210.998.582.827.799.324.212.741.959.514.16-1.504.073.33-7.590.103.44-2.34-191.87
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17.7216.676.596.879.468.419.342.6310.089.899.408.226.4410.509.4813.386.3911.876.3019.3315.536.32-13.9513.658.5110.468.5812.3816.152.704.4914.947.397.713.25-14.578.376.72-12.459.359.204.440.546.996.753.57-2.692.883.37-1.99-4.50-2.493.04-2.76-7.02-3.06-0.88-12.66-5.27-4.62-7.71-197.02
13.2612.545.585.717.506.407.152.147.957.607.126.224.647.817.0310.064.909.244.8415.0612.294.66-10.899.836.124.3730.908.5110.3436.714.0112.296.907.963.80-37.355.484.24-7.728.175.813.370.434.604.712.192.861.253.55-43.66-5.52-2.03-1.04-5.82-4.21-2.02-1.01-7.85-3.42-2.91-5.23-175.92
0.230.230.170.200.220.230.210.220.220.210.180.190.210.190.170.190.170.190.160.200.210.180.150.200.200.190.150.180.190.170.140.170.180.170.14-0.050.250.240.220.240.240.220.200.230.240.230.200.230.220.190.150.250.170.150.190.220.240.190.190.220.200.17
0.770.730.550.720.720.730.710.880.940.950.881.131.161.000.951.050.850.840.660.930.900.770.681.081.131.020.791.051.061.010.811.050.660.620.50-0.260.900.930.881.111.151.000.890.981.041.030.991.121.000.990.651.750.710.650.891.021.110.900.850.890.800.58
1.671.541.531.391.551.451.561.451.501.401.511.391.551.451.511.471.471.431.611.541.631.401.681.551.721.531.661.561.651.431.601.641.211.061.14-0.341.801.561.891.761.741.651.921.781.791.601.801.691.761.671.092.531.151.171.791.711.761.652.231.731.721.62
53.7958.5058.9464.8357.9561.9957.7261.9259.9464.4159.6364.6158.1761.8759.6761.3361.1763.0755.9258.2755.2564.3553.7358.1552.4558.8254.2157.6354.5362.9656.0955.0274.3084.5778.85-264.2749.8757.8547.7251.1051.8054.3946.9950.4950.3556.1149.9053.1851.0554.0482.6535.5178.5677.2050.3852.5751.0554.5440.4251.9452.3855.45
5.985.871.962.423.433.043.271.063.773.342.802.652.113.122.554.171.843.921.736.795.941.99-3.904.432.841.9210.314.115.211.051.284.722.792.761.091.064.853.74-6.237.455.382.980.345.126.143.09-2.091.862.22-3.43-1.77-2.011.71-1.33-3.06-1.73-0.94-5.81-2.49-2.50-5.70-165.39
12.4213.224.716.068.908.429.693.3911.7411.1910.369.828.7212.1811.1120.2311.2527.0114.8263.9184.4677.86-164.0617.2913.489.9355.2740.04119-4,701.15-83.08-131.13-11.34-8.36-2.96-2.80-9.47-6.4510.00-14.40-9.78-4.54-0.49-7.47-5.48-2.421.52-1.23-1.882.712.763.40-3.212.455.123.081.619.894.734.805.58167
3.022.880.941.141.641.441.510.471.761.561.301.210.971.461.201.910.841.790.793.012.610.85-1.671.941.240.834.521.601.950.390.441.550.890.870.340.321.381.02-1.722.001.420.760.091.311.300.62-0.420.350.48-0.66-0.45-0.510.45-0.35-0.80-0.45-0.24-1.46-0.64-0.63-1.05-29.23
3.823.681.211.492.111.861.980.642.302.051.711.611.281.871.522.461.062.260.993.873.331.10-2.132.481.561.015.462.082.570.510.602.201.261.210.470.461.991.47-2.473.102.081.050.121.811.860.90-0.600.500.66-0.94-0.62-0.720.63-0.49-1.11-0.64-0.35-2.17-0.93-0.94-1.49-40.09
5.084.854.684.564.574.484.404.294.494.504.414.404.314.224.144.053.863.853.773.763.603.473.413.593.403.363.373.092.922.792.612.592.442.312.272.292.122.052.022.202.152.042.022.071.651.561.521.471.701.652.352.432.592.602.552.622.612.652.792.842.862.96
0.950.400.430.700.33-0.14-0.040.330.130.010.120.980.770.400.210.880.49-0.02-0.080.580.11-0.180.060.830.440.010.000.370.16-0.10-0.120.700.33-0.03-0.050.360.12-0.24-0.170.910.380.05-0.020.710.27-0.020.000.490.160.130.080.330.00-0.090.030.630.230.290.391.120.59-0.02
0.780.300.400.430.16-0.24-0.07-0.02-0.10-0.160.060.590.490.200.120.460.17-0.25-0.170.05-0.22-0.37-0.040.530.32-0.030.010.120.02-0.19-0.150.510.23-0.10-0.080.22-0.01-0.31-0.190.710.23-0.06-0.070.490.12-0.12-0.040.290.030.070.040.19-0.10-0.140.000.850.450.580.420.830.43-0.13