NACCO Industries Financial Ratios for Analysis 2009-2024 | NC

Fifteen years of historical annual and quarterly financial ratios and margins for NACCO Industries (NC).

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
3.315.884.413.603.243.893.281.721.891.761.942.141.541.832.07
0.050.040.050.070.060.020.160.300.440.480.340.330.110.440.49
0.090.050.060.150.090.040.270.440.851.170.620.630.260.871.03
6.7928.0722.6513.2122.0822.1416.1510.88-7.5920.6423.7325.8726.5227.8217.66
-32.6528.9528.8810.4727.5332.2231.32-1.49-2.52-7.396.587.758.1110.640.89
-32.6528.9528.8810.4727.5332.2231.32-1.49-2.52-7.396.587.758.1110.640.89
-18.7440.2341.0924.8339.2943.3243.9510.599.79-4.249.709.9310.3112.843.30
-29.8736.2929.6311.1030.7831.1527.77-6.03-4.89-8.545.976.6414.207.081.25
-18.4330.6825.0911.5228.1125.7028.9526.6514.85-4.254.7712.4520.508.981.35
0.400.430.380.270.320.360.270.170.231.161.151.130.440.531.55
2.602.432.742.342.723.382.933.420.963.743.863.823.601.435.65
4.664.014.143.116.454.703.035.341.304.966.085.857.852.087.34
78.4091.0088.1411756.5877.6912068.3228173.6260.0462.3946.5017649.76
-10.3517.3713.674.9213.6913.8712.971.341.13-18.0214.9314.9913.7710.512.12
-10.5218.5915.025.5815.7616.5516.181.691.65-26.4018.6719.9315.3112.132.52
-7.3313.059.493.118.919.237.310.440.35-4.955.495.434.392.840.56
-9.7916.7413.004.5512.9313.5310.890.940.63-9.469.8710.1212.205.861.08
51.3358.1049.0142.5941.5436.2232.0332.5029.4229.2337.8333.6868.9053.7947.88
7.299.1910.41-0.357.537.856.0113.7115.382.616.5317.0018.467.5618.92
1.293.804.96-4.554.675.054.3013.3915.24-3.90-0.2315.9616.458.0517.38

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
2.823.333.314.246.997.535.885.215.015.674.414.704.684.203.605.434.864.963.243.423.303.313.893.433.323.973.283.801.851.981.721.671.992.241.891.521.761.821.761.571.732.001.941.822.262.242.142.091.851.541.541.581.821.941.831.841.942.052.071.791.901.72
0.070.070.050.040.040.040.040.040.040.060.050.040.060.070.070.070.070.070.060.030.030.030.020.030.060.130.160.220.300.360.300.400.420.440.440.460.460.450.480.340.350.370.340.320.330.310.330.350.130.090.110.260.360.410.440.470.490.490.490.510.510.53
0.160.130.090.050.050.050.050.040.050.070.060.050.100.140.150.080.100.120.090.030.040.050.040.070.120.230.270.280.530.700.440.700.760.810.850.940.930.931.170.800.840.770.620.630.610.620.630.710.270.550.260.610.740.760.870.951.071.071.031.221.241.45
13.4113.1712.34-4.6710.446.7029.1628.8525.4928.8025.3527.6919.5817.055.3121.1210.8613.5010.7218.9820.9633.3834.8319.3914.3917.3820.0111.2816.3616.118.815.0822.7723.0722.2417.6618.0119.7122.1520.9918.2320.3925.0621.5324.3023.6026.6824.8625.2626.2119.0424.9217.0018.3219.3119.5720.5618.9619.6817.8317.1715.49
14.078.93-118.81-13.462.853.6224.4615.8948.3727.1679.04-0.7818.8918.47-34.6329.1012.6820.1417.1626.5722.1540.8339.8333.5523.1631.1624.6131.8533.8534.65-2.79-39.442.933.127.52-2.710.661.67-24.615.11-1.94-0.339.247.304.493.5811.677.064.434.657.396.833.834.746.553.132.972.465.44-0.280.65-2.00
14.078.93-118.81-13.462.853.6224.4615.8948.3727.1679.04-0.7818.8918.47-34.6329.1012.6820.1417.1626.5722.1540.8339.8333.5523.1631.1624.6131.8533.8534.65-2.79-39.442.933.127.52-2.710.661.67-24.615.11-1.94-0.339.247.304.493.5811.677.064.434.657.396.833.834.746.553.132.972.465.44-0.280.65-2.00
--------------------------------------------------------------
11.9010.46-116.17-12.575.318.7125.5418.5873.4527.1623.0553.0220.5619.21-31.5530.5915.7916.1917.3635.6423.6143.2438.2733.9022.5128.7821.7727.1530.5131.16-1.17-42.350.942.187.141.37-0.170.73-25.994.09-3.14-1.188.706.773.702.9810.306.512.823.897.215.293.2411.675.252.922.822.694.360.251.13-1.53
11.418.58-77.47-8.234.1111.3521.6917.1860.5822.8715.9348.0014.1719.87-23.5324.8417.1116.3823.6731.4819.2937.4528.2129.2618.9826.2138.4838.2824.1617.5995.37-1.361.751.626.311.31-0.140.53-13.683.47-1.81-0.867.235.392.632.267.4318.1412.6614.545.7213.212.378.424.432.032.662.103.00-0.740.30-1.64
0.090.100.110.080.110.090.110.110.110.110.100.110.100.090.050.070.080.090.060.080.100.100.100.090.090.080.070.060.050.050.040.050.290.290.440.340.300.300.390.270.250.230.390.290.280.270.410.260.100.100.530.110.460.430.520.410.400.380.460.350.370.36
0.540.610.650.700.840.660.630.710.800.700.680.730.740.830.460.600.880.900.590.801.060.810.820.760.990.860.700.640.140.150.800.150.820.811.350.840.790.831.220.790.870.731.270.870.890.921.380.770.740.274.780.271.371.251.561.181.421.371.641.101.191.04
1.221.431.251.151.020.991.051.161.441.211.061.501.631.510.561.601.411.371.231.661.571.421.361.281.100.870.770.680.290.301.220.312.182.212.511.982.152.061.641.561.651.662.031.651.781.662.131.952.140.399.450.401.851.602.031.621.901.762.181.681.901.88
73.9562.7771.8278.5287.8990.8585.3777.6662.3174.5384.9159.9455.3259.4916156.3763.7765.7573.0254.2457.1963.1866.4170.0581.6910311813130829673.9629241.2740.7135.8445.5041.8843.7354.7657.6354.5154.3044.2654.4050.6454.1242.2346.1641.992319.5322348.5656.2244.2555.6947.3351.2141.2353.4747.4147.85
1.551.20-11.50-0.890.581.323.232.569.233.452.227.292.062.90-1.812.622.022.102.203.622.935.684.393.832.773.644.411.613.133.66-2.10-1.091.571.398.991.70-0.140.51-19.232.86-1.32-0.537.574.471.921.588.403.560.560.779.451.503.5312.158.593.254.132.995.24-1.190.30-2.67
1.581.22-11.68-0.950.621.413.452.759.973.772.448.052.303.26-2.052.962.302.402.534.193.426.695.244.633.384.495.502.044.164.94-2.64-1.572.262.0013.112.60-0.220.75-28.163.63-1.67-0.669.475.842.542.0911.174.900.620.8510.501.683.9613.749.923.814.913.566.24-1.440.36-3.31
1.070.85-8.15-0.660.441.012.431.896.792.451.545.081.371.87-1.141.721.371.411.432.492.003.812.922.511.752.192.480.871.161.33-0.69-0.320.510.462.760.45-0.040.16-5.280.93-0.46-0.202.781.580.740.623.041.260.200.273.010.471.093.642.320.821.080.801.40-0.290.07-0.59
1.451.11-10.87-0.860.561.273.112.468.893.252.116.991.932.69-1.682.441.881.952.083.532.855.534.293.722.603.153.701.262.192.35-1.47-0.650.910.785.010.91-0.080.28-10.091.89-0.86-0.335.013.041.291.095.672.310.480.708.371.112.277.214.791.722.121.522.68-0.590.15-1.26
52.2351.2251.3357.0857.6357.4758.1056.5854.8949.7449.0147.5244.0843.2742.5943.5042.5541.8541.5440.4938.9337.8236.2234.6033.2632.4132.0330.2533.7932.8532.5028.9729.2029.3629.4226.9727.5228.3929.2336.4136.0337.1637.8334.7333.3533.6433.6834.6973.5172.8268.9065.2464.4761.5653.7949.1646.4946.6347.8844.5544.9041.15
-0.77-1.307.298.383.100.839.197.495.52-0.1510.419.464.10-0.13-0.350.39-1.78-4.427.536.763.16-0.087.855.602.69-1.165.973.95-0.26-6.1713.756.802.47-0.5515.728.627.085.202.710.29-2.78-3.326.530.87-0.31-2.9817.009.446.150.3018.456.106.65-1.057.550.534.73-1.8618.909.215.05-2.53
-3.79-3.221.293.391.26-0.183.802.152.51-0.764.964.581.85-0.80-4.55-2.34-3.52-5.184.675.502.31-0.685.053.541.41-1.504.272.90-0.88-6.5813.436.361.59-1.1915.577.816.704.87-4.05-6.03-8.12-7.37-0.23-2.24-2.00-3.8715.968.844.872.2916.444.344.77-1.798.040.833.98-2.4217.367.954.63-3.03