Patrick Industries Financial Ratios for Analysis 2009-2024 | PATK

Fifteen years of historical annual and quarterly financial ratios and margins for Patrick Industries (PATK).

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
2.382.482.252.322.762.442.012.012.312.542.712.532.240.741.05
0.490.570.630.590.570.600.480.580.600.500.400.450.53-0.53
0.981.341.681.461.361.540.951.471.590.980.670.811.142.002.59
22.5621.7119.6518.4618.0918.3817.0516.5716.5516.1115.3015.0314.3910.6510.77
7.5010.168.626.976.617.887.457.437.607.006.886.184.382.300.63
7.5010.168.626.976.617.887.457.437.607.006.886.184.382.300.63
11.7012.8811.3910.219.6010.589.509.439.428.418.187.776.564.803.95
5.518.927.205.245.046.726.926.857.136.676.524.862.700.41-2.78
4.126.725.523.903.835.305.244.554.594.174.046.422.750.44-2.13
1.351.751.541.421.591.841.892.282.412.883.423.053.593.722.76
5.265.725.336.487.546.777.748.498.588.698.927.919.5810.9410.85
21.1728.2423.6618.7726.7027.4321.0331.7724.0822.5426.2724.4921.7227.3016.99
17.2412.9315.4319.4513.6713.3117.3611.4915.1616.1913.8914.9016.8013.3721.48
13.6734.3629.3017.3518.0029.3223.1229.9732.8329.8529.2145.7529.376.76-33.29
-58.75-83.23-53.01-33.17-50.07-46.82-85.02-62.46-90.2714259.8088.2765.1116.87-76.00
5.5811.808.495.546.099.739.8910.3911.0612.0013.8019.589.881.64-7.07
6.9214.7110.997.087.6711.6312.0912.5713.1215.0517.5125.2813.936.76-15.66
47.1743.0032.7323.9520.9417.3714.638.075.654.423.462.511.290.870.79
18.5516.8310.806.948.278.234.054.242.881.930.920.880.520.360.19
15.9413.878.035.567.277.073.193.582.541.660.610.550.410.670.26

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
2.292.382.382.422.722.872.482.542.582.372.252.112.321.972.322.102.462.322.762.612.011.972.442.242.232.012.012.232.302.292.012.042.272.222.312.532.162.512.542.622.442.122.712.132.162.382.531.991.852.062.241.832.271.900.740.800.810.771.051.101.071.07
0.540.570.490.520.550.580.570.580.620.650.630.610.630.570.590.560.580.580.570.580.550.590.600.590.590.500.480.420.430.400.580.610.610.620.600.620.530.580.500.510.510.340.400.450.390.460.450.360.330.500.530.540.630.68----0.530.620.630.63
1.201.320.981.081.231.381.341.421.651.871.681.571.691.331.461.291.371.371.361.411.261.451.541.451.441.060.950.760.810.721.471.641.661.731.591.701.241.380.981.051.050.520.670.820.650.840.810.570.501.021.141.231.732.122.002.222.122.472.593.063.523.62
22.7521.9522.9022.9922.8121.5821.1221.2622.1722.0119.7819.6320.0518.9918.4219.0517.3918.5818.0818.4318.3717.5218.2018.5418.9817.7116.9716.9817.5616.6616.3616.0617.5416.2816.6716.3117.3015.8415.5715.9616.9415.9514.7414.8815.7715.7913.7314.9715.4316.0014.3217.0314.5411.369.7410.6711.6110.2010.7612.7310.958.00
8.336.367.348.218.216.257.108.3411.7912.058.258.809.348.058.058.542.856.676.556.617.385.897.327.778.777.577.177.408.286.926.826.618.897.407.557.088.726.976.176.648.266.915.896.128.097.334.356.476.567.333.796.775.441.110.150.993.464.263.542.921.03-6.29
8.336.367.348.218.216.257.108.3411.7912.058.258.809.348.058.058.542.856.676.556.617.385.897.327.778.777.577.177.408.286.926.826.618.897.407.557.088.726.976.176.648.266.915.896.128.097.334.356.476.567.333.796.775.441.110.150.993.464.263.542.921.03-6.29
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6.334.205.386.266.234.195.456.9710.7910.946.807.347.916.746.607.040.304.894.665.095.974.415.736.507.746.776.626.887.796.346.215.988.376.816.966.548.346.615.836.277.996.595.515.757.776.942.875.805.764.881.675.864.47-1.78-1.76-0.862.251.431.89-1.41-2.67-10.25
4.713.763.944.574.603.354.225.297.908.395.325.415.785.594.905.330.173.603.643.774.473.435.084.865.765.456.114.405.225.064.193.975.384.664.844.175.174.103.853.864.914.053.423.724.744.243.035.8011.524.881.885.864.47-1.78-1.62-0.862.251.431.71-1.07-1.19-9.23
0.340.310.300.330.340.320.340.380.490.450.430.450.460.460.440.440.280.390.370.390.460.450.430.470.510.540.550.560.590.570.610.570.630.610.650.510.710.690.740.710.740.880.840.750.970.890.740.861.020.950.910.840.930.770.780.830.920.710.690.670.580.46
1.561.421.181.291.281.121.121.191.551.501.501.752.012.002.022.021.341.751.771.761.981.891.591.932.082.212.252.262.512.252.262.202.552.332.321.872.632.532.252.052.132.402.212.232.602.291.952.342.872.922.442.502.892.642.312.493.082.712.722.602.662.03
4.033.354.773.604.453.515.513.894.153.796.663.623.864.015.833.992.953.816.284.365.354.436.444.434.593.986.113.904.103.688.424.023.454.136.513.394.553.255.814.274.133.976.474.134.994.315.943.574.503.355.523.283.192.695.703.563.212.914.273.153.293.70
22.3226.8418.8825.0320.2125.6416.3523.1221.6723.7713.5224.8723.3222.4315.4422.5530.4823.6114.3420.6416.8420.3213.9820.3219.5922.6214.7223.1021.9624.4310.6822.4126.0721.7813.8326.5219.7927.6915.4921.0821.7922.6613.9021.8018.0320.8715.1425.2219.9926.8616.2927.4628.2333.4215.7925.2728.0030.9221.0828.5327.3324.35
4.363.322.953.844.253.114.216.2112.9814.087.958.299.177.986.767.100.144.284.024.445.984.866.606.748.647.417.845.276.645.917.317.0710.809.309.366.789.958.467.107.139.537.636.097.1010.649.395.2411.3726.4414.005.1016.9116.73-6.99-5.18-3.339.725.245.58-4.86-7.40-26.87
-9.87-6.43-12.67-14.29-12.70-8.29-10.19-18.02-29.76-22.96-14.38-16.64-15.79-18.18-12.93-17.65-0.40-11.32-11.17-11.93-14.22-8.94-10.54-11.62-14.60-22.92-28.81-151.20-105.5582.03-15.24-14.93-29.83-22.32-25.74-19.28-223.41-323.7833.7728.9247.6514.0612.4716.2917.7817.1710.1117.4241.5129.1711.3240.4933.16-17.73-12.92-8.0220.7013.0712.75-12.23-17.98-62.94
1.591.161.201.491.561.071.442.033.853.792.302.432.652.592.162.370.051.391.361.472.061.542.192.292.932.923.352.473.082.902.532.263.422.863.152.143.652.832.852.753.623.582.882.814.613.782.244.9711.794.661.724.934.16-1.37-1.26-0.722.061.021.19-0.86-1.22-4.50
1.991.431.491.851.911.311.802.584.914.922.983.243.433.442.763.110.061.811.711.852.672.002.622.773.563.674.103.073.773.553.072.774.163.503.742.594.633.553.583.474.655.013.653.906.465.092.907.3017.817.032.427.716.13-2.24-5.18-3.339.725.242.63-1.85-2.76-10.06
49.0447.2547.1746.5944.9043.4543.0041.7739.2634.7732.7329.2527.1825.0423.9522.5121.0421.0820.9420.2019.2117.9917.3717.2516.4516.3814.6313.5112.6911.768.077.436.836.095.655.675.244.674.424.354.073.773.463.232.992.692.512.402.131.531.291.211.010.820.870.900.920.840.790.750.770.81
7.791.5918.5513.438.19-0.0416.839.413.04-0.9310.806.303.362.166.944.891.720.578.275.244.021.208.235.263.721.034.051.310.79-0.474.242.240.830.682.881.091.18-0.121.930.960.690.310.920.890.620.050.880.600.580.070.520.41-0.060.050.360.01-0.16-0.100.190.00-0.05-0.06
6.420.9015.9411.306.54-0.9413.877.121.52-1.398.034.422.241.555.563.931.230.247.274.483.430.837.074.393.150.723.190.780.44-0.623.581.780.580.562.540.891.04-0.201.660.790.590.270.610.720.520.010.550.380.490.040.410.34-0.110.040.670.360.180.070.260.00-0.05-0.07