NAPCO Security Technologies Financial Ratios for Analysis 2009-2024 | NSSC

Fifteen years of historical annual and quarterly financial ratios and margins for NAPCO Security Technologies (NSSC).

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
7.596.674.524.724.454.555.714.905.104.774.624.864.913.251.092.01
---0.020.03--0.060.080.160.190.270.330.36-0.32
---0.040.05--0.060.090.230.270.410.540.670.870.82
53.8943.0841.2044.5042.2742.9441.4141.5533.4333.5031.8830.4329.8228.1621.4321.70
28.5017.8412.6915.739.9313.389.177.307.666.795.805.215.373.52-7.69-21.44
28.5017.8412.6915.739.9313.389.177.307.666.795.805.215.373.52-7.69-21.44
29.6518.9713.9317.2113.2314.7510.718.879.388.818.147.978.587.32-2.41-3.60
29.8618.3715.2115.729.9213.369.087.207.456.515.394.493.601.13-11.19-23.98
26.3815.9613.6513.527.6912.138.346.417.006.234.674.233.221.57-9.59-19.24
0.911.020.970.930.971.201.251.231.271.201.171.121.101.040.920.85
2.502.762.072.541.691.992.191.952.562.272.362.692.562.573.062.88
5.916.504.914.064.423.964.034.314.344.324.373.914.324.053.663.45
61.8056.1374.2789.8882.5892.0990.4684.7084.1084.4683.5493.4484.4490.1999.79106
27.8519.3517.2216.6810.1817.5412.059.8411.2610.427.947.496.063.16-18.98-33.03
28.4219.9117.9017.5810.9119.5213.6811.4313.4512.8810.1610.078.644.85-31.91-54.88
23.9816.2813.1912.587.4614.5310.447.908.917.455.494.733.531.63-8.82-16.40
27.8519.3517.2216.419.9117.5412.059.2710.358.716.445.484.052.02-18.98-22.58
4.853.813.102.522.091.931.691.511.361.231.131.050.990.930.901.06
1.220.670.230.620.280.230.210.060.240.100.120.130.110.110.140.18
1.180.590.190.600.240.180.170.030.220.080.100.120.090.090.130.16

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
7.597.937.066.296.677.046.364.914.524.815.326.214.725.455.885.534.455.114.734.554.554.584.274.335.715.765.165.894.905.294.865.195.105.265.404.814.774.574.834.574.624.534.804.214.864.844.414.554.912.051.991.933.253.333.903.451.091.091.111.082.011.15
------------0.020.020.030.040.03--------0.030.030.060.060.060.040.070.080.120.120.140.160.170.180.180.190.200.220.230.270.290.300.310.330.200.220.230.360.400.410.43----0.32-
------------0.040.040.050.050.05--------0.030.030.060.060.070.040.080.090.160.170.200.230.240.250.260.270.300.320.340.410.450.460.490.540.590.620.650.670.770.790.870.870.850.830.840.820.69
55.3253.7652.6053.7851.5848.8833.9236.8844.4741.8734.2543.3444.4445.7341.9246.1431.4845.5746.9543.8244.7642.6742.9840.8944.5340.0540.1640.0857.9040.1831.9431.9940.0630.8430.2531.0640.6929.8831.1830.3138.4630.7827.6829.2338.0627.1026.9627.1835.4129.3827.7925.6531.2831.0426.6422.3314.7325.9223.9923.0818.29-1.40
27.7429.4229.0327.7326.4424.2110.239.2418.9512.763.8013.4618.5817.8113.4911.45-6.8815.4215.4613.7317.1614.5113.277.5215.698.615.525.0013.485.465.143.5515.656.134.971.7915.082.675.601.4213.124.342.751.3916.161.392.06-2.6211.924.005.08-0.889.873.703.02-4.68-8.22-10.93-2.46-9.35-59.29-37.51
27.7429.4229.0327.7326.4424.2110.239.2418.9512.763.8013.4618.5817.8113.4911.45-6.8815.4215.4613.7317.1614.5113.277.5215.698.615.525.0013.485.465.143.5515.656.134.971.7915.082.675.601.4213.124.342.751.3916.161.392.06-2.6211.924.005.08-0.889.873.703.02-4.68-8.22-10.93-2.46-9.35-59.29-37.51
--------------------------------------------------------------
29.2630.7130.5728.7827.3025.2210.678.9818.5412.273.9826.0918.7117.6613.4811.43-6.9115.4015.5013.7017.1514.4913.247.4915.648.535.424.8813.395.385.053.4315.495.904.771.4914.832.355.311.1312.843.972.290.8015.810.771.21-3.8110.282.253.32-2.848.261.780.60-8.64-11.23-14.71-5.85-13.40-61.89-41.09
26.8926.7826.5225.1423.6621.949.297.8117.449.123.1024.9715.6315.4511.7510.01-11.4113.7813.8312.3016.8512.4211.566.4313.568.245.844.2012.544.584.142.8214.295.274.761.7414.552.214.860.9210.853.762.010.7114.720.650.78-2.859.261.761.75-1.036.783.910.89-7.40-9.24-11.64-5.48-12.57-47.53-35.76
0.240.250.260.240.270.280.290.270.290.260.250.250.290.250.250.220.220.260.250.270.340.320.320.300.370.320.300.300.360.320.320.310.370.320.330.290.350.290.320.280.340.280.300.280.340.290.280.250.310.270.270.240.300.260.260.220.280.220.220.190.230.15
0.650.620.570.520.620.570.680.510.590.590.740.650.790.560.540.370.450.410.390.470.550.500.520.550.620.520.470.480.410.490.600.630.670.660.660.540.600.550.610.530.620.560.670.610.730.720.700.590.660.610.600.550.710.670.690.611.010.660.750.650.820.55
1.571.631.701.801.711.751.961.791.481.481.421.221.261.261.281.211.001.121.121.061.141.121.251.061.201.231.221.191.271.231.271.171.271.231.311.191.281.211.271.231.261.221.341.201.191.181.221.041.211.241.221.041.171.071.180.971.110.971.010.840.940.72
57.1755.3052.8549.9452.6951.3945.8750.1460.8360.6863.3974.0771.3371.2870.2174.5989.7180.0880.4884.7079.0180.0771.9385.1075.0773.2074.0175.4371.0573.2370.6777.2571.1273.3268.6775.8470.5374.1270.8173.2071.2174.0667.2074.7175.4676.3873.7486.8774.3172.4274.0186.3576.7184.4976.3892.5480.7992.3288.7610795.75124
7.577.857.987.087.547.263.232.636.623.091.007.675.994.953.822.89-3.434.534.564.347.014.704.442.365.833.062.091.545.661.771.621.106.712.182.070.677.180.912.180.375.341.580.910.317.960.300.36-1.164.880.840.87-0.473.962.040.47-3.42-5.57-5.16-2.41-4.69-22.27-9.91
7.728.028.187.277.767.493.342.726.883.221.058.036.315.244.063.08-3.684.975.024.817.805.285.012.676.613.512.411.786.582.081.921.308.012.652.530.838.881.152.770.476.832.061.200.4110.700.420.51-1.656.951.241.30-0.726.073.310.78-5.80-9.36-8.51-4.06-7.92-37.00-21.55
6.516.776.785.936.346.132.692.085.072.390.796.194.523.812.952.19-2.513.553.523.325.803.923.661.955.052.611.751.284.551.441.340.885.311.671.590.505.140.641.540.253.691.070.610.205.020.190.22-0.702.840.480.47-0.252.041.010.24-1.60-2.59-2.50-1.19-2.34-11.06-5.18
7.577.857.987.087.547.263.232.636.623.091.007.675.904.833.702.77-3.344.534.564.347.014.704.442.365.832.962.021.455.341.661.561.026.161.921.810.586.010.751.800.304.331.250.710.245.820.210.26-0.813.270.680.68-0.362.521.230.28-1.94-5.57-5.16-2.41-4.69-15.22-9.91
4.854.564.304.033.813.583.313.203.102.892.822.752.522.402.282.192.092.172.122.011.931.801.741.701.691.601.571.531.511.431.411.381.361.271.251.231.231.141.141.121.131.061.041.041.050.960.960.980.990.940.930.920.930.890.870.870.900.950.941.021.061.30
1.220.840.510.300.670.330.03-0.050.230.230.210.090.620.450.240.100.280.180.130.080.230.160.170.080.210.120.070.040.060.030.080.050.240.150.090.060.100.070.050.060.120.110.110.100.130.080.080.040.110.080.030.020.110.060.030.000.140.120.150.080.180.11
1.180.810.490.300.590.270.01-0.060.190.200.190.080.600.430.230.100.240.140.100.070.180.110.140.070.170.100.060.030.030.000.060.050.220.140.080.050.080.060.040.060.100.090.100.090.120.070.070.040.090.070.030.020.090.050.020.000.130.120.140.080.160.10