NN Financial Ratios for Analysis 2009-2024 | NNBR

Fifteen years of historical annual and quarterly financial ratios and margins for NN (NNBR).

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
2.242.432.652.082.172.044.402.012.101.761.812.171.701.381.44
0.420.370.350.180.630.660.620.720.720.660.160.340.430.470.51
0.760.610.550.231.742.011.662.582.622.130.260.570.820.971.16
14.3315.5718.3419.6319.8221.1425.7126.6920.9221.2320.9220.3318.1518.879.22
-4.46-4.23-1.89-27.47-3.59-37.215.135.950.015.677.466.776.934.45-11.96
-4.46-4.23-1.89-27.47-3.59-37.215.135.950.015.677.466.776.934.45-11.96
5.375.518.08-4.7616.15-22.7215.5217.3611.4110.3712.1511.7611.1310.09-2.96
-10.97-6.23-4.70-35.57-6.56-39.75-9.71-5.28-12.142.706.755.506.153.01-14.51
-12.93-7.42-7.27-23.53-9.55-50.1726.181.14-1.601.684.606.564.931.76-13.62
0.960.910.820.680.320.350.420.430.290.691.421.391.641.471.07
5.865.225.205.505.853.425.576.392.684.215.416.397.557.087.08
6.325.785.744.585.493.864.096.153.194.956.256.896.285.724.93
57.7663.1563.6179.7566.5294.4989.3459.3911473.7058.4353.0058.1563.8074.03
-40.12-14.01-6.43-54.88-8.70-52.765.05-3.07-7.774.7311.2518.8821.018.21-46.01
-34.81-14.66-7.62-54.45-13.1455.80-11.902.445.8322.2511.9920.3223.079.32-53.52
-9.82-4.78-2.49-22.32-1.99-14.741.66-0.70-1.771.156.559.158.072.58-14.56
-14.24-6.52-3.36-31.83-2.55-17.971.92-0.87-2.181.599.4312.3911.974.35-22.62
4.295.726.468.3510.469.9617.6311.3511.699.158.667.545.884.704.72
0.630.170.350.371.171.29-1.022.571.571.681.842.180.881.680.91
0.25-0.22-0.03-0.120.06-0.68-2.570.95-0.110.250.961.21-0.300.770.68

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
1.962.042.042.242.182.172.202.432.602.452.372.652.442.332.272.080.932.482.382.172.032.131.902.042.362.623.774.403.162.232.072.012.172.152.092.102.131.871.871.761.942.101.841.811.831.982.002.172.152.062.061.701.791.681.671.380.871.571.501.440.680.682.10
0.410.440.430.420.400.400.380.370.380.360.350.350.350.350.350.180.380.840.820.630.700.690.680.660.570.700.620.620.640.730.710.720.710.720.720.720.360.670.680.660.660.250.190.160.190.250.300.340.370.400.430.430.450.440.480.470.180.540.520.51--0.50
0.730.820.800.760.700.690.630.610.610.580.550.550.560.550.560.234.445.354.781.742.412.322.182.011.372.411.661.661.852.762.502.582.502.622.612.620.652.172.332.132.060.350.320.260.270.380.490.570.640.740.800.820.920.861.000.971.071.281.221.161.151.131.06
14.4917.6716.5912.4515.9913.9914.6911.3615.1317.1318.3416.7715.8718.9721.3821.0420.8217.1618.7017.0419.7625.9723.9561.4823.9624.3025.2523.0524.9027.5027.3456.4826.9426.8224.7226.1522.3721.9321.0322.0320.0520.9921.7020.2421.5021.3420.5618.1420.9721.2320.6217.8917.3718.3418.8717.9817.5120.7919.2515.3110.785.153.22
-3.30-1.75-3.95-7.06-2.20-3.23-5.57-9.36-1.66-3.60-2.67-3.43-3.93-1.290.77-0.82-1.28-14.23-89.36-9.16-1.503.39-0.154352.86-0.152.18-0.173.758.008.79-62.878.858.075.6048.206.548.248.515.572.037.728.137.198.388.226.012.306.838.378.645.375.737.988.285.053.227.132.16-3.44-13.08-15.27-18.91
-3.30-1.75-3.95-7.06-2.20-3.23-5.57-9.36-1.66-3.60-2.67-3.43-3.93-1.290.77-0.82-1.28-14.23-89.36-9.16-1.503.39-0.154352.86-0.152.18-0.173.758.008.79-62.878.858.075.6048.206.548.248.515.572.037.728.137.198.388.226.012.306.838.378.645.375.737.988.285.053.227.132.16-3.44-13.08-15.27-18.91
---------------------------------------------------------------
-3.38-3.71-11.80-19.87-5.64-12.10-7.20-12.34-3.70-6.33-3.02-4.25-3.28-5.55-5.57-15.42-7.22-20.78-93.97-13.25-5.19-2.93-8.23318-9.56-15.84-4.72-8.90-4.32-25.15-0.11-170.85-6.050.70-1.6187.593.194.584.031.66-3.687.087.506.737.987.714.560.584.728.507.065.386.026.796.253.55-0.287.171.38-5.26-15.84-18.50-21.54
-5.75-4.92-13.37-21.37-6.75-14.04-10.41-12.65-3.93-8.95-4.56-1.78-4.85-6.17-15.3312419.31-31.57-216.10-12.73-4.86-3.29-9.15465-6.70-12.48-3.5432.0385.02-13.384.7011.823.040.99-0.6130.872.994.223.661.05-3.064.875.114.985.434.953.0610.243.607.125.655.094.655.034.952.15-1.115.530.26-4.29-13.59-23.59-16.44
0.240.250.240.220.240.230.230.220.230.220.210.190.200.200.200.190.090.060.090.070.080.140.13-0.030.120.110.110.110.100.110.110.010.110.150.15-0.060.220.230.240.220.180.350.360.340.360.370.350.300.330.370.380.370.380.420.410.390.370.390.360.320.260.230.22
1.401.481.391.381.471.391.331.301.281.231.291.221.311.331.481.501.410.540.791.370.761.281.26-0.151.261.281.381.451.450.930.980.080.901.321.33-0.481.301.461.511.311.161.371.401.321.521.631.671.421.481.721.801.721.912.222.191.892.052.242.081.991.761.501.31
1.471.501.451.451.461.361.381.371.351.341.271.331.221.291.271.271.130.640.801.240.841.461.44-0.351.090.991.031.031.370.920.990.120.991.421.44-0.611.431.441.401.561.111.321.381.511.411.431.401.491.361.391.371.421.391.421.321.511.351.361.361.491.331.241.27
61.3359.9162.2461.9361.7765.9965.2265.8166.8867.1670.5967.8673.4969.6070.6270.6379.9414111372.5510761.6062.37-259.9282.8591.2886.9887.4465.7497.4391.1572990.8663.4762.47-146.5662.8662.6864.4457.7580.8568.1265.1059.6963.6563.1064.1760.3466.1264.9565.7763.2264.9563.3168.0959.6666.5966.1766.0460.5067.7372.3770.72
-2.40-2.03-10.79-16.43-3.52-9.31-5.83-6.45-1.14-4.15-1.48-0.33-1.50-2.32-2.09-6.091.90-30.34-136.98-2.81-1.34-1.93-4.94-42.20-2.15-5.53-1.2310.80-0.79-8.460.58-3.590.240.67-0.41-13.371.354.013.720.93-2.133.173.342.943.493.512.216.382.656.385.404.924.775.816.002.66-1.307.490.31-4.37-10.97-15.42-10.04
-1.73-1.55-8.81-14.26-3.25-9.01-5.89-6.75-1.24-4.66-1.70-0.39-1.84-2.91-2.70-6.052.015.0731.82-4.251.161.764.7744.633.744.312.76-25.461.466.86-0.512.86-0.21-0.530.3210.032.2419.7922.344.38-10.013.433.563.133.733.762.376.872.886.915.915.405.276.466.733.02-1.498.570.36-5.09-12.70-17.60-11.25
-0.53-0.44-2.44-4.02-0.97-2.67-1.86-2.20-0.40-1.49-0.55-0.13-0.57-0.88-0.79-2.480.12-1.36-8.16-0.64-0.31-0.46-1.23-11.79-0.78-1.39-0.403.56-0.23-1.880.14-0.820.060.15-0.09-3.040.640.980.860.23-0.541.691.831.711.931.821.083.091.192.662.151.891.752.092.020.84-0.412.170.09-1.38-3.55-5.40-3.70
-0.77-0.64-3.59-5.83-1.39-3.84-2.62-3.00-0.54-2.06-0.77-0.17-0.79-1.25-1.13-3.530.54-1.80-10.92-0.83-0.40-0.59-1.60-14.38-0.93-1.65-0.474.11-0.28-2.310.17-1.010.070.19-0.11-3.750.861.331.180.31-0.732.392.712.462.842.621.554.191.673.803.092.802.623.233.121.41-1.073.460.15-2.15-10.97-15.42-5.04
3.923.873.994.294.614.795.535.725.856.056.376.466.426.546.608.354.453.704.1310.468.518.929.329.9615.2315.9917.5317.6316.0011.3211.9711.3511.9911.7011.7611.6912.819.018.469.159.559.218.858.668.327.887.607.546.896.486.425.885.825.925.474.704.684.144.344.725.035.375.83
0.09-0.010.010.630.500.190.010.17-0.06-0.06-0.120.350.130.130.180.370.460.380.241.170.800.10-0.061.29-0.46-0.70-0.04-1.021.140.570.182.571.690.430.131.570.490.22-0.901.680.080.31-0.071.841.470.52-0.152.181.320.68-0.070.880.19-0.12-1.051.680.800.31-0.010.910.590.04-0.11
-0.22-0.19-0.100.250.22-0.02-0.08-0.22-0.36-0.26-0.21-0.03-0.17-0.110.06-0.120.050.08-0.020.06-0.11-0.54-0.34-0.68-2.10-1.74-0.47-2.57-0.01-0.18-0.130.950.53-0.23-0.17-0.11-0.46-0.59-1.320.25-0.74-0.01-0.190.960.950.23-0.331.210.620.17-0.29-0.30-0.67-0.71-1.270.770.280.05-0.100.680.38-0.15-0.24