Nathan's Famous Financial Ratios for Analysis 2009-2024 | NATH

Fifteen years of historical annual and quarterly financial ratios and margins for Nathan's Famous (NATH).

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
2.492.833.986.496.145.843.986.275.446.114.613.042.623.436.126.05
2.242.292.031.741.831.932.412.022.251.87------
-1.81-1.77-1.97-2.35-2.20-2.07-1.71-1.98-1.80-2.16------
36.9839.4840.0952.7943.9044.7240.2542.8439.1633.7129.5133.0631.7134.2337.5034.71
23.4526.3425.9933.6426.3027.4726.0127.3024.8520.1413.6917.0515.835.9116.2915.07
23.4526.3425.9933.6426.3027.4726.0127.3024.8520.1413.6917.0515.835.9116.2915.07
24.5227.5927.4936.1128.1629.3428.3329.9127.3421.6315.3318.5617.587.9718.5117.37
19.8020.4916.1320.2117.4328.883.9512.2610.3419.5817.0017.0815.115.8016.2915.07
14.1515.0011.8314.6013.0021.102.527.786.0711.8110.4410.519.303.8710.9515.20
2.842.231.460.700.981.081.301.231.401.171.421.431.491.080.950.99
10414713257.3815310516295.0388.9679.9259.3645.4840.2033.0631.2448.11
9.418.688.596.519.3010.019.9210.7611.5210.4310.1910.2710.139.369.7410.11
38.7942.0542.4956.0839.2436.4636.7933.9331.6934.9835.8035.5236.0239.0137.4936.11
-59.58-44.04-24.73-17.73-20.23-30.64-3.11-11.26-8.43-19.5418.9721.8721.355.8112.5711.85
-58.19-43.10-24.22-17.38-19.83-30.02-3.06-11.02-8.26-19.0719.6222.8422.486.0412.9912.27
40.1533.4817.3210.1812.7622.793.289.588.5213.8714.8315.0413.834.1810.439.95
73.6456.9025.5613.1316.8528.544.3711.5210.5216.9018.9721.8721.355.8112.5711.85
-8.06-10.92-13.36-15.18-16.04-16.72-20.21-15.92-17.32-13.019.797.806.617.497.927.46
4.894.854.002.862.932.644.472.482.802.900.622.071.901.311.260.66
4.824.703.852.722.725.564.342.212.572.56-0.321.851.631.090.870.58

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
3.032.692.492.843.772.922.836.074.764.033.981.906.506.576.498.207.238.206.147.696.656.535.846.514.835.353.982.677.074.726.275.636.354.405.445.376.804.796.115.585.755.514.615.485.223.263.043.243.232.852.623.903.943.353.433.825.056.166.126.677.076.436.05
1.591.752.242.431.811.982.291.731.781.882.032.061.611.651.741.761.761.811.831.781.761.811.931.972.212.342.412.431.841.932.022.052.082.182.252.011.901.941.87------------------------
-2.80-2.34-1.81-1.70-2.24-2.02-1.77-2.36-2.29-2.13-1.97-2.66-2.63-2.53-2.35-2.32-2.32-2.24-2.20-2.27-2.32-2.24-2.07-2.03-1.83-1.75-1.71-1.70-2.19-2.07-1.98-1.95-1.93-1.85-1.80-1.99-2.11-2.06-2.16------------------------
33.3041.1040.2035.0434.1138.7240.0039.3738.2640.3341.8235.9935.0747.3950.6646.2249.9265.2348.4039.0641.4846.4544.7743.5044.4245.7841.5539.6239.5940.5444.0142.4240.8644.2644.2537.8538.3337.7733.8130.5832.8437.1013.6527.0530.8839.6834.7131.5834.6231.3232.4031.0932.9030.4131.7134.3536.2434.0035.7737.2839.1437.2437.02
23.4330.7023.4617.7823.5027.3023.4224.2126.4429.6624.6621.6622.6334.1729.7224.4234.7345.7729.9218.0724.7830.9624.9124.2128.9130.1222.8424.3927.7527.4324.7323.8528.6730.0024.1021.5727.5224.8514.5916.8722.3324.58-6.519.7618.5724.1013.9412.2622.6216.9612.9413.9920.1215.107.43-1.330.7916.118.2213.9222.7617.3810.40
23.4330.7023.4617.7823.5027.3023.4224.2126.4429.6624.6621.6622.6334.1729.7224.4234.7345.7729.9218.0724.7830.9624.9124.2128.9130.1222.8424.3927.7527.4324.7323.8528.6730.0024.1021.5727.5224.8514.5916.8722.3324.58-6.519.7618.5724.1013.9412.2622.6216.9612.9413.9920.1215.107.43-1.330.7916.118.2213.9222.7617.3810.40
---------------------------------------------------------------
19.7028.5619.7312.9320.3024.1315.8817.1521.5624.8710.5811.5414.6625.8815.6110.2723.1631.4419.137.3617.1723.5413.9166.0122.0421.616.17-32.1816.2915.725.625.7515.8017.584.883.6415.6412.8510.8817.0422.6124.8813.109.7618.4723.6216.3811.5122.1116.4111.9513.2419.5414.486.91-1.330.7916.118.2213.9222.7617.3810.40
14.6720.7213.499.0214.7417.6011.9112.4815.8917.978.718.2210.7818.4011.277.5416.7422.6214.725.6712.3117.5911.2648.0815.2915.891.84-17.169.919.493.863.518.9512.072.722.109.307.547.5610.0413.3514.768.605.9711.1914.3310.727.0713.329.947.518.1811.878.924.52-1.170.9310.627.529.3714.5210.989.41
0.710.760.590.670.590.640.470.320.450.480.320.230.280.270.170.170.210.170.210.200.280.290.230.220.340.380.250.240.370.360.240.250.370.380.260.250.370.360.240.340.470.480.250.350.450.420.290.300.440.430.320.270.350.320.230.250.290.280.200.220.300.280.20
27.2828.3220.5933.8827.7233.6730.5247.1932.0226.6627.6144.7122.5221.9414.4623.3619.648.2529.6321.7528.2921.8522.8423.7129.5326.9530.3032.7531.4825.2618.2729.1432.6820.7515.1022.4624.0517.0316.3819.5625.3115.7012.9113.6714.219.309.0510.4213.679.828.6612.3313.858.347.369.4010.679.276.6410.1610.758.919.46
2.622.191.972.132.462.001.822.012.321.901.851.832.221.631.571.462.442.151.952.052.442.042.182.112.741.931.901.852.732.222.111.95-2.282.132.282.952.442.142.142.732.641.811.982.632.392.102.202.942.312.202.173.312.322.002.043.172.342.011.752.472.052.06
34.3141.1645.7342.3436.6144.9449.4644.8838.8147.2548.5949.2340.5655.1357.3661.5936.9541.8546.0643.9436.8544.1641.3742.6832.8946.6047.4848.5332.9640.5042.6346.09-39.4442.1739.5430.5236.8242.0341.9732.9434.0749.7445.4234.2237.6742.9340.8330.6538.9840.8241.3927.1638.7144.9044.1228.4338.4944.6851.4536.3743.8943.67
-28.33-36.38-11.88-7.45-16.15-18.84-7.33-7.10-12.55-14.06-3.92-3.85-6.33-9.91-3.30-2.15-5.79-6.12-4.81-1.89-5.81-8.24-3.55-13.58-5.65-5.78-0.434.44-5.17-4.59-1.10-1.04-3.69-5.03-0.70-0.66-4.62-3.68-2.574.227.658.722.772.596.358.634.553.048.326.453.752.965.574.071.46-0.390.333.601.792.385.063.592.12
-27.43-35.34-11.60-7.28-15.76-18.40-7.17-6.95-12.28-13.76-3.84-3.77-6.20-9.71-3.23-2.11-5.68-6.00-4.71-1.85-5.68-8.06-3.48-13.31-5.55-5.68-0.434.37-5.04-4.49-1.07-1.02-3.62-4.93-0.69-0.65-4.52-3.60-2.514.337.879.002.872.686.588.964.763.178.686.773.953.075.774.221.52-0.400.343.721.852.465.243.712.20
10.4515.858.006.088.7111.225.573.997.108.552.751.863.045.051.891.303.443.923.031.163.425.112.6410.665.196.040.46-4.073.693.370.930.893.314.570.710.533.482.701.823.446.267.072.172.095.066.033.132.125.844.312.432.214.162.901.05-0.290.272.991.482.024.313.041.78
16.8027.1814.6810.6313.0218.519.475.219.7712.404.064.093.896.482.441.634.384.944.011.484.426.673.3113.206.827.730.61-6.344.354.291.121.093.985.910.880.674.183.462.224.227.658.722.772.596.358.634.553.048.326.453.752.965.574.071.46-0.390.333.601.792.385.063.592.12
-5.21-6.24-8.06-8.56-8.67-9.61-10.92-11.27-11.63-12.40-13.36-13.44-13.61-14.13-15.18-15.34-15.33-15.87-16.04-15.23-14.89-15.41-16.72-17.15-18.92-19.80-20.21-20.32-14.43-15.23-15.92-16.12-16.27-16.91-17.32-14.99-13.90-14.00-13.0111.8211.2610.449.799.589.358.727.807.907.747.066.618.268.147.777.497.608.228.257.927.837.867.777.46
3.621.224.893.332.780.534.853.242.390.194.002.402.170.022.861.392.210.732.931.581.44-0.252.641.752.36-0.674.471.861.281.042.482.321.801.182.803.071.941.432.902.281.810.660.62-0.32-0.38-0.282.071.551.060.131.901.261.060.231.310.910.790.211.260.730.570.000.66
3.591.214.823.272.740.514.703.102.290.133.852.292.08-0.022.721.292.140.672.721.491.40-0.275.564.702.62-0.704.341.751.200.992.212.081.651.112.572.951.891.402.562.131.730.61-0.32-1.23-1.12-0.711.851.481.000.111.631.140.960.181.090.770.670.140.870.380.52-0.030.58