National Presto Industries Financial Ratios for Analysis 2009-2024 | NPK

Fifteen years of historical annual and quarterly financial ratios and margins for National Presto Industries (NPK).

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
5.006.096.556.488.607.427.445.295.445.054.874.844.995.185.60
---------------
---------------
19.7917.1418.1024.0823.3123.4726.1525.0525.1523.4218.8820.0821.7523.7123.01
10.286.888.4415.9415.0314.8218.4918.2817.5813.2013.7112.6417.1120.3019.09
10.286.888.4415.9415.0314.8218.4918.2817.5813.2013.7112.6417.1120.3019.09
12.047.929.2816.7916.2316.7421.4622.5821.9720.0816.5215.0119.2022.1120.92
12.458.079.1217.0116.9516.1919.5718.5217.6913.3113.8912.7917.4120.7419.73
10.146.447.2113.3213.6912.3515.8713.0311.397.639.828.2311.1313.2613.08
0.770.780.850.810.750.780.810.820.920.931.071.341.051.151.19
1.441.752.031.981.842.632.362.692.992.993.684.533.574.405.37
7.004.536.676.577.446.175.125.086.404.934.976.185.855.265.18
52.1780.6054.7655.5549.0659.1271.3571.8357.0474.0373.4359.0562.3669.4370.46
9.705.957.1712.5411.0210.9011.8211.9712.439.4512.4013.3814.2618.4718.63
10.426.427.5513.1811.6011.2812.3212.5613.0810.1413.9214.2515.0919.1119.29
7.845.036.1010.849.889.6410.5210.0410.888.2210.4810.9811.6515.3015.55
9.705.957.1712.5411.0210.9011.8211.9712.439.4512.4013.3814.2618.4718.63
50.2949.2850.7853.2952.5252.4552.5850.3948.9247.0548.1842.1548.9150.1048.98
6.391.244.915.821.3710.883.479.526.6610.563.519.058.548.429.07
6.131.094.515.451.039.652.428.535.738.98-1.687.086.356.008.59

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
4.954.994.595.005.265.655.546.096.526.726.396.555.647.046.206.487.185.976.788.607.237.597.297.426.627.476.337.447.076.234.495.294.884.754.905.445.395.404.705.055.025.314.774.875.014.905.214.844.935.244.874.995.755.994.875.185.575.774.915.605.935.764.98
---------------------------------------------------------------
---------------------------------------------------------------
18.7617.2818.0720.9918.5216.9522.4111.6724.4919.4915.9817.0612.8720.2922.6624.8722.0624.9524.5622.0330.5720.4619.5623.9019.2224.5426.3926.5226.7523.5527.6326.8022.9324.7024.3447.2521.0419.9620.6743.2916.9318.2818.1618.5819.5318.1619.4822.5819.6116.7321.0323.0922.5621.0320.1626.8421.4622.6523.1124.5924.8723.6218.21
10.047.488.1913.518.506.6511.720.6015.0710.195.083.115.3113.0113.5116.1915.3817.5914.1115.2322.1012.049.4717.858.3815.6517.4220.6616.5516.2819.2222.6515.3316.6214.6439.5913.3613.4412.2032.118.227.168.0715.2513.7712.6412.4512.0312.7111.3814.9717.6218.3616.6615.7423.8417.7219.8218.8621.0321.0918.8814.43
10.047.488.1913.518.506.6511.720.6015.0710.195.083.115.3113.0113.5116.1915.3817.5914.1115.2322.1012.049.4717.858.3815.6517.4220.6616.5516.2819.2222.6515.3316.6214.6439.5913.3613.4412.2032.118.227.168.0715.2513.7712.6412.4512.0312.7111.3814.9717.6218.3616.6615.7423.8417.7219.8218.8621.0321.0918.8814.43
---------------------------------------------------------------
11.309.2210.9015.4410.649.0214.021.7316.6211.196.183.636.0513.6514.3716.9116.2518.6916.0416.5623.8914.3212.0319.439.8416.9118.5821.4017.6717.5920.5222.8115.6316.8914.9239.5613.6213.5412.2832.128.267.338.2615.4113.9212.7912.7012.0112.9111.5815.2417.6218.6117.1516.2423.9518.2320.3619.5721.2421.7319.7315.46
8.807.148.5713.378.446.9711.041.9112.818.674.803.234.7310.6711.1013.1612.9214.5312.5312.3521.0111.379.3213.797.8013.6014.3014.5011.8013.0324.9215.7511.1411.9010.9424.698.928.918.0316.255.374.725.4212.658.968.198.248.068.057.439.6611.2611.8111.0110.4415.6011.6412.7912.4114.3514.3512.9410.06
0.210.200.180.220.200.200.200.280.170.200.160.240.200.210.210.240.230.210.170.230.190.190.170.210.200.200.200.280.180.190.180.320.190.180.180.160.240.280.280.210.260.250.240.340.270.270.230.400.300.310.260.290.280.270.300.340.300.320.300.380.320.290.31
0.280.310.310.410.370.390.400.660.300.400.340.580.500.490.440.590.540.490.380.580.410.500.510.690.680.610.560.810.400.490.481.010.450.450.460.360.620.840.860.490.700.650.741.190.730.800.691.320.931.120.800.970.910.881.041.250.941.101.091.660.860.881.21
1.961.642.012.021.691.801.911.611.511.581.701.881.711.751.681.971.491.661.502.291.891.951.751.631.781.811.771.771.581.961.771.961.211.201.181.101.782.041.971.091.681.801.351.601.641.401.651.851.672.021.451.621.511.701.671.561.732.141.791.631.711.832.12
45.9255.0244.7344.5653.2049.9147.2156.0559.4856.8552.9747.8452.7451.5253.4545.6060.5254.1059.9139.3247.6946.1051.4655.0650.5149.8450.8450.7856.8945.9450.9645.9174.6274.7876.1981.5050.6944.2045.7582.4553.5149.9766.8256.3654.9064.2954.6748.5253.8444.4562.1555.6959.7853.0953.8157.7652.0042.0150.2755.0552.7749.3042.46
2.331.801.983.692.051.642.690.622.581.990.890.911.172.662.643.723.373.642.463.194.132.401.803.241.763.103.274.382.392.623.015.632.362.482.094.962.502.892.655.151.641.361.555.142.862.712.303.932.912.773.063.993.843.493.806.444.104.854.506.455.324.493.82
2.501.932.143.972.211.782.930.672.732.100.940.951.232.802.793.913.553.842.603.354.362.501.873.361.833.223.414.572.502.753.175.902.482.612.205.222.663.072.835.531.801.511.745.763.032.882.454.193.092.953.264.223.983.623.956.664.265.044.686.685.524.673.98
1.881.451.572.991.691.372.240.532.191.700.750.770.972.292.283.222.963.122.142.863.642.121.582.871.542.772.853.902.122.292.484.722.012.111.814.342.172.512.244.481.391.171.324.342.382.241.923.232.382.292.503.263.262.983.125.333.444.083.675.394.523.813.16
2.331.801.983.692.051.642.690.622.581.990.890.911.172.662.643.723.373.642.463.194.132.401.803.241.763.103.274.382.392.623.015.632.362.482.094.962.502.892.655.151.641.361.555.142.862.712.303.932.912.773.063.993.843.493.806.444.104.854.506.455.324.493.82
48.8147.6246.7250.3048.3947.3646.5649.2848.9447.6746.7050.7850.2949.6948.3453.2951.2849.5447.6852.5250.8248.4847.2752.4550.7149.7848.2052.5850.1648.9347.5150.3947.3746.1644.9448.9246.7145.5144.1847.0545.2144.4443.8248.1845.6744.3843.1642.1546.9645.5844.3148.9146.9645.1543.5550.1046.8944.9742.7748.9845.8043.3541.43
-6.42-3.970.786.394.054.645.281.24-0.46-0.300.774.912.060.860.965.821.172.081.511.37-0.511.121.6610.889.997.116.003.47-0.780.813.649.523.823.801.876.663.103.693.2910.565.704.863.543.512.280.161.579.055.025.371.698.545.213.893.178.424.935.195.449.073.874.255.98
-6.96-4.120.736.133.814.515.211.09-0.54-0.340.744.511.710.590.805.450.961.981.461.03-1.020.611.319.658.976.545.742.42-1.600.173.328.533.253.431.785.732.303.293.078.984.574.193.02-1.68-0.33-1.780.737.083.584.371.046.353.392.562.726.003.114.464.778.593.513.945.87