Otter Tail Financial Ratios for Analysis 2009-2024 | OTTR

Fifteen years of historical annual and quarterly financial ratios and margins for Otter Tail (OTTR).

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
1.841.910.950.541.341.420.930.960.761.281.141.872.471.801.69
0.360.400.430.420.470.450.410.430.420.470.420.440.450.400.39
0.630.680.860.970.890.840.870.870.950.890.820.780.800.790.73
56.0751.4948.7750.8847.1046.5648.0748.5746.6644.8145.3245.7236.4340.4735.29
28.0126.7420.8616.6114.6714.1215.5814.5114.0112.4512.6813.288.569.005.27
28.0126.7420.8616.6114.6714.1215.5814.5114.0112.4512.6813.288.569.005.27
35.2733.0828.5025.8323.1622.2724.1223.6521.7519.7220.4621.4315.5017.0313.17
26.9424.4917.7813.0411.3410.5811.7410.2710.299.198.227.494.654.112.36
21.8119.4614.7710.779.458.998.537.767.617.226.77-0.85-1.70-0.303.09
0.420.500.430.350.400.450.420.420.430.460.470.440.490.410.47
3.964.854.134.744.974.615.014.934.875.185.605.567.775.946.12
9.9312.127.929.5910.6010.4910.9710.7510.2510.9010.997.188.236.345.29
36.7430.1146.0738.0434.4234.7833.2733.9635.6033.5033.2050.8144.3457.5868.96
20.3923.3517.8411.0111.1111.3010.399.309.689.939.098.826.114.163.67
21.0324.2518.7211.6411.8512.1311.2210.0910.6610.739.899.516.564.444.51
9.079.796.423.723.824.013.613.263.223.273.042.872.051.481.40
12.9813.9210.256.415.906.246.105.305.595.315.264.803.302.432.19
34.6029.2423.8421.0019.4618.3817.6217.0315.9815.3914.7514.8616.2617.9819.18
9.629.285.535.184.633.604.374.223.123.064.066.442.892.924.56
2.945.311.65-3.78-0.351.011.140.18-1.03-1.32-0.273.371.081.32-0.22

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
2.172.272.921.841.801.741.731.911.901.641.080.950.660.630.560.540.921.151.461.340.941.281.361.421.481.441.450.930.930.930.930.960.830.920.900.761.161.331.411.281.491.571.671.141.411.781.891.871.701.582.012.471.721.721.511.801.471.621.531.691.121.301.29
0.370.380.390.360.370.380.390.400.410.420.410.430.380.410.410.420.470.470.480.470.440.440.440.450.450.450.450.410.410.420.420.430.410.440.450.420.450.460.460.470.470.470.480.420.450.450.450.440.440.430.450.450.400.400.400.400.400.400.390.390.370.380.33
0.620.610.630.630.620.660.700.680.700.760.820.860.910.981.010.970.950.930.930.890.920.840.860.840.840.860.880.870.860.860.880.870.890.940.960.950.980.920.930.890.950.950.930.820.900.840.830.780.790.870.820.800.740.720.860.790.810.770.800.730.780.780.72
59.4259.5855.3656.2358.4458.3451.1451.6952.0052.1750.0849.1448.8548.9248.0551.2252.5650.0449.5449.5447.4145.0646.5647.2647.2245.2946.5050.8246.5546.7848.2349.0048.4447.8748.9847.5645.8747.4645.8746.7943.4143.7945.2292.6437.7838.4241.8939.9938.7436.9936.3935.7429.9827.9230.8532.4335.7634.7738.2656.3335.6735.6131.83
31.8132.4027.3722.3033.8331.4023.7918.2330.2530.2626.2221.3523.5620.9516.8912.3322.3714.4816.7414.4816.2911.7016.0910.5816.8113.3015.5916.4915.2514.6115.9817.6413.8413.3113.3715.7714.8113.1812.3412.8512.487.5916.4731.3210.947.4312.5011.3611.327.218.306.106.384.736.245.704.63-6.055.7329.146.802.503.11
31.8132.4027.3722.3033.8331.4023.7918.2330.2530.2626.2221.3523.5620.9516.8912.3322.3714.4816.7414.4816.2911.7016.0910.5816.8113.3015.5916.4915.2514.6115.9817.6413.8413.3113.3715.7714.8113.1812.3412.8512.487.5916.4731.3210.947.4312.5011.3611.327.218.306.106.384.736.245.704.63-6.055.7329.146.802.503.11
---------------------------------------------------------------
30.8131.4326.5521.9432.5930.2122.3516.3327.8127.9823.9118.6920.4217.6413.598.9619.1010.7912.7411.0812.988.1912.996.5813.469.6112.4412.7611.4610.6612.0911.2710.0210.149.6911.9111.119.398.809.208.824.1014.1112.538.694.529.698.951.873.514.842.563.441.782.591.881.33-9.572.049.994.560.361.08
25.2925.4121.4218.3825.6924.2718.4313.9421.9521.4819.2115.4916.6814.7311.598.2315.248.8110.349.4410.826.7310.706.4010.228.2610.878.878.197.919.158.907.417.707.047.727.706.088.845.428.055.149.9715.206.593.636.811.310.78-8.303.21-21.382.196.472.210.782.28-5.771.8621.904.041.031.52
0.090.100.100.100.110.110.110.100.130.140.130.120.120.110.100.090.090.080.100.090.100.110.120.110.110.110.120.100.110.110.110.100.110.110.110.100.110.100.110.110.110.120.130.050.140.130.140.130.140.130.130.120.160.170.140.140.150.140.130.020.150.140.17
0.900.861.050.921.050.971.141.001.261.301.281.141.411.421.471.201.371.071.211.111.241.191.231.101.271.371.471.151.471.291.361.201.261.301.231.161.301.211.301.211.411.321.440.081.971.781.731.841.801.721.691.942.172.372.122.251.891.741.550.191.971.731.93
1.811.992.012.001.851.731.932.501.981.771.712.211.771.751.952.452.212.132.272.492.261.992.022.532.192.222.382.672.272.442.392.632.572.372.562.482.132.202.292.641.651.731.931.232.031.961.942.151.551.401.422.031.661.741.442.121.481.811.370.241.991.911.69
49.5945.1744.7645.0048.5651.9546.5735.9745.4450.8152.5540.8050.8751.5046.2236.8140.7542.3339.6436.1939.7845.3044.6335.5341.1740.5637.8233.7139.5936.8937.6734.2134.9837.9635.1836.2542.3540.9339.2634.1354.4152.1546.6573.0544.4146.0046.3641.8458.1764.2263.5944.3154.3651.7262.4042.4560.7049.7465.6937545.3347.0153.38
5.235.564.964.006.566.174.943.457.117.706.885.215.544.603.422.144.222.073.032.603.272.073.551.943.212.623.702.642.572.442.882.642.222.452.362.552.632.322.352.452.341.433.962.062.801.432.893.270.901.281.791.051.170.810.83-0.250.64-2.540.501.031.580.410.66
5.385.725.124.136.776.395.133.587.408.037.195.475.834.853.612.274.472.193.232.783.502.223.812.093.452.823.992.852.772.633.122.862.422.672.592.812.892.502.532.652.571.574.382.253.111.593.213.530.971.381.921.131.320.920.94-0.270.77-3.050.611.271.940.510.81
2.402.512.241.782.892.652.091.452.912.992.581.871.941.571.160.721.420.711.050.901.140.731.250.691.150.931.310.920.900.861.010.920.780.840.790.850.850.750.760.810.770.471.320.690.890.470.961.070.310.420.610.350.430.300.29-0.090.23-0.930.180.390.610.160.26
3.323.473.052.554.133.812.992.064.204.434.042.993.412.732.011.252.221.101.591.381.841.161.981.071.771.432.021.551.501.421.671.501.311.381.311.471.431.261.271.311.240.752.081.191.530.781.581.780.500.710.960.570.680.480.48-0.150.37-1.490.300.620.970.250.43
39.0537.4435.8434.6033.6331.8530.3229.2428.4426.8225.1723.8422.9322.0321.3921.0020.7620.1219.8119.4619.0318.7218.6418.3818.2918.0217.8717.6217.5117.3517.2117.0316.7416.4416.1215.9815.8515.7015.6715.3915.3115.1115.1014.7514.6114.4814.5714.8615.1115.3616.1616.2617.7917.8917.8117.9818.1518.2518.9919.1819.2219.1519.35
7.675.311.719.627.574.391.329.286.864.191.085.533.701.640.375.183.441.820.544.632.631.740.433.602.531.340.124.372.871.740.534.222.941.670.603.121.861.11-0.223.061.280.11-0.524.062.571.290.226.444.121.260.222.892.221.130.192.911.691.38-0.634.563.932.530.62
1.661.260.012.942.220.85-0.995.314.022.570.421.651.03-0.09-0.76-3.78-1.82-1.03-1.26-0.35-1.010.47-0.181.010.710.14-0.461.140.550.38-0.210.18-0.18-0.36-0.04-1.03-1.11-1.04-1.14-1.32-2.04-2.02-1.52-0.27-0.38-0.07-0.413.371.60-0.48-0.731.080.600.06-0.371.320.060.36-1.11-0.22-0.131.04-0.11