Northwest Pipe Financial Ratios for Analysis 2009-2024 | NWPX

Fifteen years of historical annual and quarterly financial ratios and margins for Northwest Pipe (NWPX).

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
2.833.073.564.184.695.078.288.015.346.615.053.434.033.403.13
0.140.210.230.02-0.050.000.000.000.160.260.200.260.310.17
0.190.300.310.05-0.050.010.000.000.200.390.280.400.490.23
17.4718.7613.2817.6716.897.034.380.040.3510.0616.7615.2011.567.682.40
7.629.794.818.9410.27-1.73-6.94-6.69-14.470.0510.448.046.410.15-5.14
7.629.794.818.9410.27-1.73-6.94-6.69-14.470.0510.448.046.410.15-5.14
11.1813.538.9014.0314.823.69-2.00-0.35-6.547.6314.3212.579.654.11-0.90
6.599.044.558.9711.699.91-7.15-7.26-15.21-0.389.476.664.35-1.83-6.03
4.746.813.466.669.9911.80-7.65-6.20-16.97-4.44-0.264.182.47-1.41-3.97
0.740.760.610.770.900.630.580.620.671.150.830.921.240.930.71
4.025.234.858.077.574.067.448.015.854.982.712.904.224.413.63
9.336.406.336.707.355.014.585.855.596.374.899.377.324.746.09
39.1457.0757.6754.4949.6972.9279.6962.4465.3057.3374.6838.9549.8676.9959.94
6.199.794.077.0711.249.29-4.19-3.22-8.19-2.518.286.755.27-2.40-4.50
8.3013.696.058.0711.309.29-4.19-3.22-8.19-2.579.187.325.76-2.66-4.93
3.525.182.105.118.997.49-3.64-2.79-6.87-1.755.004.143.06-1.31-2.83
5.347.753.116.9111.248.83-4.18-3.21-8.16-2.126.095.433.88-1.66-3.72
34.0832.0628.7127.5025.4622.4520.8221.7922.7525.8027.7127.6525.6924.3426.64
5.301.75-0.595.684.39-1.89-0.780.165.773.682.114.711.31-2.308.35
3.49-0.53-1.924.263.51-2.27-1.06-0.085.072.18-0.703.05-0.42-4.306.05

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
3.063.562.833.032.942.893.072.782.943.463.564.375.105.204.184.924.924.104.695.534.335.095.075.2611.6611.868.2811.346.358.608.014.985.224.585.345.125.907.456.615.665.383.275.054.183.703.353.432.891.833.904.033.361.703.183.403.773.703.433.133.265.285.26
0.180.210.140.150.180.160.210.190.230.240.230.01-0.020.020.040.050.05----0.050.010.000.010.000.000.000.000.000.000.000.000.000.000.030.090.160.160.140.100.260.200.200.200.200.230.070.230.260.270.100.290.310.300.270.230.170.240.200.23
0.250.290.190.210.250.230.300.240.290.310.310.01-0.030.050.050.060.06----0.050.010.010.010.010.000.000.000.000.010.010.010.000.030.030.110.200.190.170.120.390.280.290.290.280.330.320.340.400.410.470.430.490.450.390.320.230.350.280.32
19.9317.7817.5116.2519.3216.7320.4720.4220.3213.5213.2414.6112.9212.1417.8220.1218.5213.9023.4220.5711.8810.4911.799.92-4.304.045.155.142.604.1914.627.16-5.14-16.03-10.17-4.80-4.824.588.9313.5811.105.225.8814.3317.3021.3510.6610.0810.3611.619.5511.8611.5913.255.329.295.1211.32-2.90-3.703.5310.00
10.527.687.837.639.854.7510.2811.7611.774.963.018.034.344.079.5012.8310.542.3716.9914.065.083.714.694.76-20.24-7.02-4.14-3.69-9.85-11.7323.37-3.05-14.87-29.587.60-13.92-24.75-3.63-13.138.015.29-1.36-22.827.2610.5415.735.423.505.326.463.617.217.706.71-2.161.96-2.043.05-12.89-12.12-2.483.77
10.527.687.837.639.854.7510.2811.7611.774.963.018.034.344.079.5012.8310.542.3716.9914.065.083.714.694.76-20.24-7.02-4.14-3.69-9.85-11.7323.37-3.05-14.87-29.587.60-13.92-24.75-3.63-13.138.015.29-1.36-22.827.2610.5415.735.423.505.326.463.617.217.706.71-2.161.96-2.043.05-12.89-12.12-2.483.77
--------------------------------------------------------------
8.936.387.256.608.713.349.2210.9911.044.482.578.103.913.849.3912.7511.691.5018.8117.654.943.761.2746.41-20.13-6.66-3.75-4.20-9.85-12.4921.69-3.31-15.15-29.8111.17-14.23-25.10-3.98-13.437.844.84-2.27-23.625.939.6314.984.402.354.225.312.094.925.724.26-4.85-0.16-4.352.48-12.73-14.02-3.432.83
6.664.634.944.906.402.387.458.108.163.262.215.842.893.017.539.368.570.8216.6314.294.303.460.2653.00-19.75-5.85-6.06-5.33-7.21-13.0418.051.77-14.84-28.2576.56-2.89-22.43-2.48-13.704.313.13-14.65-14.761.296.328.863.312.952.753.331.252.363.462.63-3.31-0.12-3.261.31-8.80-8.95-1.851.65
0.210.180.180.200.190.170.180.210.200.200.190.220.200.200.190.210.200.200.230.260.250.240.210.200.130.150.150.170.120.130.130.170.170.14-0.070.180.180.260.290.320.290.230.270.180.200.240.320.250.300.350.280.330.340.240.230.250.220.190.170.150.150.18
1.180.961.001.201.111.161.201.371.271.511.491.682.141.921.951.941.611.511.802.191.821.361.291.361.561.871.981.941.251.681.481.851.731.34-0.671.121.101.321.281.301.421.240.980.610.630.771.070.790.971.270.991.341.711.031.141.251.110.880.890.801.041.01
1.832.162.311.771.841.641.491.661.881.851.952.182.191.801.631.781.781.781.902.052.292.251.671.541.761.381.231.601.361.591.261.792.451.34-0.581.201.342.351.612.271.891.201.571.191.521.643.281.521.812.191.681.631.531.351.191.311.591.421.421.091.201.35
49.3041.6538.9250.7949.0555.0360.2954.1447.8748.7646.2241.3541.1950.0555.3650.5750.4350.6547.3743.8339.2339.9353.7958.2651.0765.3973.2356.2366.0456.4971.1650.3036.7767.40-155.8975.0367.3638.2355.8039.7347.5675.0957.4675.5859.3054.8527.4259.4049.6141.0753.7055.0558.6866.8875.3268.6456.7663.3463.4982.7175.0966.62
2.451.531.601.742.270.742.503.233.261.240.801.760.780.801.942.762.350.234.844.561.330.980.0712.72-2.98-0.99-0.92-0.78-0.70-1.723.660.70-3.09-4.63-0.97-0.66-5.21-0.86-5.702.261.26-0.48-6.490.992.014.081.741.341.441.930.611.382.121.18-1.42-0.05-1.270.43-2.32-2.21-0.420.47
3.232.042.152.353.101.023.504.594.691.821.192.000.880.912.213.172.710.264.874.561.330.980.0712.72-2.98-0.99-0.92-0.78-0.70-1.723.660.70-3.09-4.63-0.97-0.66-5.21-0.88-5.832.471.37-0.53-7.201.062.184.421.891.451.572.100.671.512.321.29-1.57-0.06-1.390.47-2.54-2.42-0.460.51
1.360.840.910.991.240.411.321.701.650.640.411.300.590.591.401.981.710.163.873.771.070.810.0510.81-2.66-0.89-0.80-0.70-0.61-1.533.170.59-2.59-3.85-0.82-0.53-4.10-0.66-3.981.590.89-0.33-3.920.631.252.461.070.750.831.160.350.781.170.64-0.78-0.03-0.730.25-1.46-1.30-0.270.29
2.021.211.381.481.870.621.982.622.520.940.611.750.780.781.902.642.240.224.844.561.330.980.0612.65-2.97-0.99-0.92-0.78-0.69-1.723.650.70-3.08-4.61-0.97-0.66-5.05-0.78-4.801.911.08-0.44-4.780.791.613.261.401.031.341.480.451.001.900.84-0.98-0.04-0.930.33-1.92-1.69-0.340.36
35.4134.7034.0833.4732.8132.1132.0631.2729.9128.9428.7128.4027.8327.6327.5026.8926.0725.4625.4624.1923.0322.6822.4522.4619.6020.1820.8221.0521.2221.4121.7921.1521.0221.6422.7524.1324.2625.4925.8027.2026.5726.4127.7129.3429.1428.4927.6527.0826.6526.2025.6925.5225.1426.8124.3426.6326.5426.7626.6426.8432.1731.91
-0.38-2.605.304.392.732.611.752.551.020.17-0.59-1.370.51-0.065.684.402.941.534.392.181.771.06-1.89-0.740.06-0.23-0.78-1.48-0.30-0.030.160.500.160.125.773.954.372.573.683.243.464.222.132.251.390.414.692.342.591.881.311.01-0.51-0.25-2.30-3.75-2.92-1.698.356.755.493.44
-1.45-3.053.493.081.892.17-0.531.370.17-0.28-1.92-2.190.03-0.254.263.412.271.233.511.581.500.90-2.27-1.05-0.10-0.31-1.06-1.68-0.41-0.08-0.080.320.020.055.073.153.752.192.182.032.523.70-0.700.11-0.37-0.453.041.261.841.41-0.42-0.20-1.42-0.62-4.30-5.42-4.13-2.346.054.824.232.79