Natuzzi, S.p.A Financial Ratios for Analysis 2009-2024 | NTZ

Fifteen years of historical annual and quarterly financial ratios and margins for Natuzzi, S.p.A (NTZ).

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
0.971.061.010.971.031.231.371.501.761.631.972.332.642.742.64
0.140.110.140.110.120.070.160.040.090.030.020.030.030.040.02
0.550.500.640.630.410.410.420.240.240.170.160.130.120.050.02
34.3435.0835.9931.4329.7328.0730.7234.3232.3327.7829.7733.0632.9638.0036.03
-2.891.801.14-3.23-5.81-5.94-6.48-0.09-1.56-8.02-7.22-3.67-5.610.08-2.04
-2.891.801.14-3.23-5.81-5.94-6.48-0.09-1.56-8.02-7.22-3.67-5.610.08-2.04
3.926.426.144.130.68-3.36-3.632.751.25-4.94-3.55-0.04-1.754.593.16
-4.590.762.05-6.26-8.109.46-6.51-0.49-3.25-10.29-14.23-4.65-2.05-0.77-1.45
-4.89-0.120.84-7.52-8.627.77-6.98-1.33-3.37-10.68-15.20-5.54-3.89-2.12-3.43
0.971.271.100.921.051.151.411.321.401.211.070.980.941.031.01
3.484.343.413.523.903.663.883.834.183.694.013.813.493.684.04
7.228.478.187.5010.488.496.865.815.613.883.583.255.243.523.40
50.5643.1144.6548.6534.8242.9953.2162.8365.0693.9810211269.71104107
-22.051.395.23-33.05-32.1323.97-29.36-4.24-10.25-28.86-32.83-9.21-6.31-3.43-5.22
-23.381.465.50-34.78-34.0925.04-30.93-4.36-10.47-28.86-32.83-9.21-6.31-3.43-5.22
-4.780.351.12-7.00-9.128.89-10.02-1.86-4.71-12.99-16.30-5.49-3.81-2.20-3.34
-18.921.244.50-29.42-28.3222.30-24.62-4.07-9.34-27.88-32.19-8.98-6.10-3.30-5.13
7.208.859.047.8510.7014.8711.1815.3816.25------
0.321.800.061.280.47-1.22-0.502.620.87-4.40-0.27-0.97-2.520.194.07
-0.701.050.171.360.09-1.94-1.122.060.88-5.31-1.25-1.70-4.92-1.952.92

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-06-302018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.940.980.971.041.041.051.061.081.061.051.011.031.031.030.971.030.991.01-1.231.411.021.321.371.481.521.501.501.661.751.751.761.751.631.641.631.891.761.881.972.132.272.212.332.662.692.692.642.683.022.262.742.872.712.662.642.562.522.41
--0.14---0.11---0.14---0.11----0.070.080.150.160.160.160.100.060.040.050.090.090.090.080.030.030.030.030.010.020.020.020.020.020.030.030.030.030.030.040.030.040.040.020.020.020.020.020.020.01
--0.55---0.50---0.64---0.63----0.410.340.480.450.420.430.330.300.240.280.290.290.240.200.210.190.170.180.150.170.160.150.150.150.130.140.130.120.120.120.040.060.050.040.030.030.020.050.050.04
38.0336.9230.1135.3836.4135.5437.3037.6531.3934.2635.6035.9536.1636.2631.4832.4626.1434.1827.8717.3130.9632.7831.0130.4629.9635.0327.1834.2734.3134.3934.3034.1134.8330.9829.5029.3927.8825.8328.4630.7629.6329.4429.0031.6634.6433.5431.9533.4131.7233.4235.3138.8635.8337.6838.5841.9838.5137.7725.63
-0.360.71-8.83-1.870.12-0.931.713.520.941.180.53-0.491.293.251.90-0.47-12.50-5.94-8.46-4.90-7.77-7.13-4.42-5.92-9.39-1.95-9.231.41-1.86-0.18--13.01-1.6413.61-4.20-7.70-7.22-9.83-9.58-6.10-8.54-7.97-6.24-6.72-0.23-0.62-4.83-8.44-15.45-4.46-1.88-0.251.181.310.26-8.416.090.82-15.45
-0.360.71-8.83-1.870.12-0.931.713.520.941.180.53-0.491.293.251.90-0.47-12.50-5.94-8.46-7.23-7.77-6.11-3.31-7.81-8.14-1.95-8.20-1.08-0.980.640.99-13.01-1.6413.61-4.20-7.70-7.22-9.83-9.58-6.10-8.54-7.97-6.24-6.72-0.23-0.62-4.83-8.44-15.45-4.46-1.88-0.251.181.310.26-8.416.090.82-15.45
-----------------------------------------------------------
-2.61-2.13-11.44-3.200.12-3.72-3.955.92-0.431.522.70-1.870.746.60-1.34-3.67-14.45-9.33-10.857.0747.90-5.56-3.74-5.18-9.39-2.88-9.232.32-4.31-0.55-1.12-3.73-2.68-7.92-10.81-8.07-12.87-9.35-23.19-17.72-10.43-4.51-7.89-3.960.33-6.88-6.81-9.829.14-1.90-0.58-4.370.341.030.191.46-1.12-7.85
-2.84-2.01-11.79-3.60-0.36-3.72-5.114.63-0.860.841.13-3.54-0.286.01-4.24-4.98-14.45-9.33-11.396.7842.39-6.85-4.16-4.83-11.38-3.39-9.230.39-5.39-0.73-0.17-3.77-4.432.94-7.97-11.09-8.45-13.07-9.94-24.09-18.13-12.42-5.40-9.56-4.66-0.32-7.60-12.26-9.007.89-2.53-1.06-4.78-1.93-1.03-1.64-0.76-2.92-9.32
0.250.250.250.220.240.250.310.290.290.300.290.280.290.260.290.250.180.24-0.280.280.320.370.400.300.350.330.350.310.320.350.370.330.330.320.340.290.280.240.300.230.250.230.270.230.240.230.240.210.240.230.270.250.280.250.290.240.260.21
--0.94---1.01---0.90---1.11----1.040.830.931.041.090.800.910.991.020.840.840.951.080.850.860.941.040.850.980.901.100.870.950.891.060.850.880.790.900.890.860.880.950.851.030.871.200.861.080.98
--1.84---2.04---2.14---2.35----2.091.241.441.531.921.491.671.371.551.421.431.311.491.361.111.021.100.930.960.811.000.770.800.740.891.221.221.191.350.740.840.850.920.820.900.850.960.860.911.15
--48.90---44.18---41.98---38.27----42.9772.3362.3358.6546.8360.3154.0565.5458.1463.4463.0668.6760.3366.3881.3188.3482.1197.0794.2111189.9611711312210273.9173.8675.4566.7012210810698.3511099.8110693.5610598.4978.40
---13.47----5.54---2.22----5.44----5.0630.06-7.90-4.63-5.77-9.58-3.14-8.010.13-3.83-0.52-0.13-3.03-3.202.09-5.49-8.45-5.11-8.02-4.98-14.56-7.79-5.37-2.12-4.30-1.80-0.13-2.82-4.95-3.002.96-0.97-0.44-1.77-0.84-0.39-0.74-0.29-1.18-3.09
-3.33-2.50-14.28-3.18-0.35-3.75-5.815.73-0.631.422.34-4.14-0.127.01-5.72-5.48-10.54-8.08-5.2931.31-7.91-4.64-6.07-9.59-3.14-8.010.13-3.83-0.52-0.13-3.09-3.202.09-5.50-8.45-5.11-8.02-4.98-14.56-7.79-5.37-2.11-4.30-1.80-0.13-2.82-4.95-3.002.96-0.97-0.44-1.77-0.84-0.39-0.74-0.29-1.19-2.25
-0.68-0.53-2.92-0.80-0.09-0.94-1.391.48-0.150.320.48-0.93-0.031.54-1.15-1.28-2.72-2.24-1.8811.72-2.21-1.49-1.97-3.44-1.20-3.150.06-1.68-0.23-0.06-1.39-1.470.96-2.54-3.80-2.41-3.72-2.40-7.23-4.19-3.07-1.24-2.56-1.09-0.08-1.71-2.98-1.881.93-0.57-0.28-1.17-0.54-0.25-0.47-0.18-0.76-1.99
-3.33-2.50-11.55-3.18-0.35-3.75-4.935.73-0.631.421.91-4.14-0.127.01-4.84-5.48-10.53-8.08-4.7127.72-6.68-3.87-4.83-8.09-2.81-7.570.12-3.66-0.47-0.12-2.76-2.952.03-5.33-8.16-4.94-7.93-4.90-14.27-7.64-5.26-2.07-4.20-1.76-0.13-2.73-4.78-2.892.86-0.93-0.43-1.74-0.82-0.39-0.72-0.28-1.16-3.06
--7.20---8.85---9.04---7.85----14.87---11.18---15.38-------------------------------
0.000.000.000.000.000.001.800.561.09-0.350.06-0.70-1.31-1.071.280.420.770.230.00-1.22-3.34-1.74-1.16-0.50-2.19-0.71-1.320.000.000.000.000.000.000.00-0.92-4.39-3.67-0.85-0.38-0.27-0.78-1.37-1.40-0.99-1.52-1.54-1.05-2.58-2.27-2.44-1.060.23-1.37-1.36-0.614.073.363.201.85
------1.050.561.09-0.350.17-0.70-1.31-1.071.360.420.770.23--1.94-4.03-2.10-1.20-1.12-2.74-1.08-1.57--------1.00-5.29-4.50-1.48-0.80-1.25-1.48-1.75-1.57-1.73-1.63-1.58-1.10-5.021.702.754.92-2.33-2.58-1.70-0.732.922.572.761.66