Myers Industries Financial Ratios for Analysis 2009-2024 | MYE

Fifteen years of historical annual and quarterly financial ratios and margins for Myers Industries (MYE).

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
1.551.871.661.292.241.881.521.781.321.861.562.091.972.011.22
0.120.290.320.170.320.330.620.670.660.620.160.290.260.280.13
0.230.400.480.410.460.501.612.041.961.610.190.400.360.400.40
31.8731.5027.7733.6933.2231.6428.7830.3030.8025.8629.0030.0426.2422.3024.35
8.919.336.4710.497.231.124.555.126.043.637.588.535.08-6.462.44
8.919.336.4710.497.231.124.555.126.043.637.588.535.08-6.462.44
11.7511.749.2214.5911.805.7310.1911.0711.718.6311.6012.109.61-1.917.61
8.128.695.929.576.430.252.873.504.472.266.807.734.46-6.921.26
6.016.704.407.204.72-0.59-1.810.203.11-1.394.455.493.24-5.81-0.10
1.501.661.571.281.461.631.541.401.331.101.251.131.761.711.38
6.106.605.885.137.788.898.288.327.227.307.823.555.855.945.30
6.326.737.386.028.267.286.118.047.366.887.804.727.147.478.10
57.7554.2649.4760.6144.1850.1359.7945.4249.6253.0646.7777.2851.1248.8945.08
16.6923.5016.0219.4414.53-1.0711.5712.1717.886.1111.2311.5211.89-20.222.71
32.0955.0347.6653.4435.02-2.52-205.85-86.75-70.2711615.5418.5216.99-28.135.55
9.0211.116.929.196.86-0.473.052.974.071.595.635.475.72-9.911.37
14.6616.7710.8316.229.93-0.714.434.016.032.349.458.218.76-14.502.36
7.957.035.775.264.674.373.073.103.314.707.016.876.176.007.31
2.321.971.241.291.521.831.451.131.221.182.821.781.851.292.05
1.711.360.840.921.451.761.630.720.560.462.211.291.250.861.84

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
1.811.751.551.511.561.521.871.751.721.711.661.791.581.681.291.701.651.592.242.102.262.101.881.971.901.561.521.561.651.681.781.822.081.741.321.711.621.521.862.392.502.401.562.142.392.412.092.252.762.271.972.072.402.142.011.301.371.351.222.702.702.87
0.570.570.120.130.180.210.290.300.320.310.320.370.250.290.170.170.170.170.320.320.320.330.330.330.300.600.620.620.640.660.670.670.680.700.660.670.610.630.620.610.410.340.160.240.290.310.290.300.310.270.260.280.290.290.280.140.170.170.130.360.380.42
1.391.400.230.250.320.370.400.440.480.460.480.590.340.420.410.410.430.440.460.470.470.490.500.480.431.501.611.621.791.922.042.002.162.281.962.051.551.711.611.570.710.510.190.310.410.440.400.420.460.370.360.400.410.420.400.410.450.460.400.570.620.71
34.2931.0329.9531.5432.8232.9430.5731.4232.0531.9025.9627.0929.3528.9028.9835.5935.9634.7533.5831.5534.9532.7530.4231.1334.1430.8827.3128.9728.3130.5831.2827.0730.9031.8634.8229.4330.7829.2723.2024.6527.8427.9631.7530.0629.3027.1326.7226.7326.1529.1826.9525.1125.1027.6723.4722.1719.3024.0919.9622.0824.9730.37
10.775.259.749.467.748.798.008.729.7010.825.395.918.476.233.539.9410.3519.067.546.427.587.355.08-19.119.337.882.865.034.415.9411.362.257.750.755.041.8212.014.303.24-1.657.395.908.288.678.226.167.004.955.528.615.253.814.896.33-34.223.37-0.015.622.330.14-0.066.91
10.775.259.749.467.748.798.008.729.7010.825.395.918.476.233.539.9410.3519.067.546.427.587.355.08-19.119.337.882.865.034.415.9411.362.257.750.755.041.8212.014.303.24-1.657.395.908.288.678.226.167.004.955.528.615.253.814.896.33-34.223.37-0.015.622.330.14-0.066.91
--------------------------------------------------------------
6.682.329.028.686.898.027.227.979.1810.314.815.387.945.662.649.029.3418.186.665.636.836.594.29-19.768.396.810.463.673.044.388.950.736.32-0.593.100.6010.512.571.57-3.286.304.856.677.887.495.656.444.354.948.074.703.154.245.69-33.162.44-1.064.661.36-1.06-1.335.60
4.671.696.566.445.096.016.315.996.797.693.643.955.914.192.186.577.0713.684.914.164.924.871.69-15.636.124.49-13.032.411.472.28-1.370.313.81-2.240.710.246.953.35-7.81-1.693.760.454.444.595.413.673.982.943.125.023.073.792.633.44-26.821.72-0.622.970.50-3.22-0.852.79
0.230.220.350.370.380.390.390.410.420.440.410.400.440.420.340.360.330.350.330.350.380.400.400.400.390.440.390.360.360.360.280.340.350.350.250.320.350.340.280.260.310.300.160.300.320.440.440.410.400.450.450.450.410.430.440.370.350.350.370.310.300.32
1.371.361.471.411.431.421.581.451.451.541.581.611.671.781.481.771.531.621.751.952.062.202.212.101.882.202.171.962.011.881.631.991.791.711.291.631.731.641.921.501.700.910.960.841.021.431.461.201.241.371.481.371.241.351.491.641.561.471.501.281.251.27
1.581.491.491.691.781.651.591.771.771.701.931.721.901.841.621.751.661.871.871.931.841.931.781.771.861.701.561.531.711.811.601.711.861.771.401.611.671.641.751.571.771.151.001.311.421.731.851.761.881.731.821.881.751.691.911.791.981.802.171.971.821.58
56.9560.5160.5953.4050.4554.4956.5450.8450.9552.9646.5452.2547.3748.8255.4951.4054.1848.0448.0946.7149.0146.5250.6250.7848.5053.0457.5658.8052.7149.8156.2552.5848.5150.8064.2956.0353.9554.9551.5657.4650.8578.2590.2968.9063.5851.9448.5851.0847.9051.9749.4747.9051.5753.3147.2450.3645.4750.1441.4345.7849.4556.88
3.491.204.284.523.864.895.245.586.677.743.473.855.483.761.584.634.619.493.453.194.074.192.02-13.294.758.081.943.152.623.699.190.435.64-3.483.370.608.412.191.02-2.063.242.081.822.853.153.373.702.532.554.612.873.552.133.07-23.841.23-0.432.100.79-0.23-0.282.46
-5.71-1.878.239.098.1210.8112.2614.2018.3920.0610.3112.2213.219.734.359.089.3920.428.318.098.669.404.79-31.619.87-1,474.33-34.57-65.69-28.14-29.95-65.51-3.77-48.1516.65-13.25-4.15584-26.5319.35-12.084.863.232.524.384.895.325.953.763.506.444.105.122.914.22-33.162.47-0.864.191.62-0.47-0.575.06
1.080.372.322.401.952.332.472.492.863.351.501.602.571.740.752.372.364.791.631.461.871.920.90-6.192.392.220.510.830.670.922.240.111.39-0.780.770.142.340.560.26-0.571.270.960.911.431.531.611.761.201.242.281.381.691.071.48-11.680.63-0.221.050.40-0.11-0.131.09
1.500.513.763.923.163.853.743.884.525.322.342.424.112.661.323.863.827.832.362.172.762.821.35-8.973.313.230.741.210.941.273.030.141.79-1.061.140.203.300.810.39-0.801.901.381.532.172.242.332.641.781.753.372.112.551.512.17-17.091.06-0.361.740.69-0.14-0.181.43
7.927.867.957.667.467.227.036.726.516.175.775.675.585.385.265.245.084.934.674.614.584.474.374.505.153.143.073.233.133.123.103.303.403.243.313.474.193.864.705.586.166.827.017.126.996.986.876.796.596.476.176.056.266.196.007.427.317.477.317.277.307.23
0.930.552.321.911.320.701.971.380.940.201.240.370.590.181.290.870.330.141.521.310.660.351.831.190.850.351.451.180.780.431.130.62-0.10-0.381.22-0.14-0.47-0.881.18-0.53-0.64-1.782.821.370.89-0.191.780.680.23-0.191.851.170.25-0.011.290.41-0.07-0.272.051.060.86-0.07
0.660.391.711.400.910.451.360.940.680.090.840.060.440.040.920.620.170.071.451.360.740.401.761.170.860.381.631.270.760.450.720.24-0.45-0.620.56-0.70-0.77-1.030.46-0.86-0.85-1.862.210.980.67-0.331.290.290.04-0.241.250.810.08-0.080.860.15-0.19-0.281.840.960.77-0.11