Park-Ohio Holdings Financial Ratios for Analysis 2009-2024 | PKOH

Fifteen years of historical annual and quarterly financial ratios and margins for Park-Ohio Holdings (PKOH).

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
2.272.082.222.302.382.412.432.282.442.212.512.432.642.282.75
0.690.710.640.590.610.640.640.650.680.690.700.790.840.870.93
2.182.451.831.481.611.811.851.992.182.262.313.725.316.7014.64
16.3514.1013.9314.3516.0816.3716.4815.7616.0717.0117.5418.3717.4416.4814.81
5.072.241.281.615.145.875.934.936.697.107.117.146.254.772.45
5.072.241.281.615.145.875.934.936.697.107.117.146.254.772.45
6.984.263.694.057.258.068.167.248.658.788.718.737.946.885.15
2.500.72-0.09-0.163.394.333.383.214.785.215.014.832.902.12-0.86
0.47-0.95-1.94-0.392.393.232.022.483.293.313.612.823.061.87-0.74
1.241.040.940.891.241.371.251.311.551.421.471.551.561.471.40
3.383.153.123.174.154.364.174.474.934.804.484.273.933.533.28
6.306.065.714.646.196.275.826.577.346.637.267.036.876.446.70
57.9060.2263.9178.6058.9458.2062.6755.5749.7055.0750.2751.8953.1356.7254.48
11.384.26-0.03-0.1411.3617.6610.2413.6422.9524.4424.9433.6048.4432.75-22.84
31.0214.20-0.07-0.3126.3648.4633.4160.981303281091,36870.0540.74-27.92
2.460.79-0.01-0.043.034.572.603.305.174.815.004.715.162.75-1.04
3.571.24-0.01-0.064.446.423.674.777.407.497.537.187.704.42-1.51
22.1820.9225.8028.4327.6024.7622.9919.0317.2915.3513.208.325.393.921.93
4.27-2.18-0.994.845.144.383.745.933.604.324.944.622.995.684.00
2.18-3.61-1.153.281.901.001.503.610.662.414.252.692.075.353.49

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
2.422.252.272.142.202.122.082.312.372.182.222.362.382.282.302.432.682.462.382.342.372.272.412.432.552.472.432.362.462.212.282.432.392.322.442.542.442.202.212.452.542.472.512.532.432.332.432.212.162.092.642.382.452.162.282.262.422.492.752.773.082.63
0.690.690.690.700.700.700.710.690.680.650.640.640.620.590.590.620.640.630.610.630.630.620.640.640.660.650.640.640.660.640.650.650.660.670.680.680.690.690.690.660.680.690.700.730.760.770.790.800.830.840.840.860.860.830.870.900.930.930.930.960.970.99
2.262.212.222.342.402.422.452.292.121.921.831.781.641.481.481.641.791.741.611.731.781.711.811.841.971.911.851.862.001.931.991.911.962.012.182.092.182.212.261.942.142.202.312.743.203.353.724.055.025.215.315.945.945.186.709.2513.8714.2314.6425.9827.9870.37
16.9217.1016.4716.7116.3715.8714.5413.6514.5213.6721.9711.1911.4014.4621.8614.616.2214.7116.4216.4815.9415.5416.6115.9116.9116.0516.7516.1017.0416.0014.6017.3616.4814.5715.5717.1016.0115.5915.2517.5917.7717.6215.2917.9918.7118.2317.8219.0018.1018.5916.8917.1818.3117.3616.5417.2316.7915.3014.9113.4417.9513.17
5.695.754.556.454.484.770.683.023.731.515.94-1.39-0.973.427.093.23-9.153.554.615.904.655.365.725.996.295.455.935.396.445.963.426.686.163.455.937.526.796.496.227.667.606.996.176.038.148.208.568.354.347.647.514.216.626.733.615.675.534.371.451.766.250.68
5.695.754.556.454.484.770.683.023.731.515.94-1.39-0.973.427.093.23-9.153.554.615.904.655.365.725.996.295.455.935.396.445.963.426.686.163.455.937.526.796.496.227.667.606.996.176.038.148.208.568.354.347.647.514.216.626.733.615.675.534.371.451.766.250.68
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3.243.211.703.822.032.41-1.231.382.430.314.83-2.85-2.372.035.751.62-11.651.862.794.122.913.714.294.324.743.944.043.661.484.303.194.384.041.283.865.604.964.674.425.775.685.004.144.095.995.906.276.072.205.094.941.660.854.312.022.482.421.53-1.31-1.742.50-2.61
2.752.30-3.722.651.261.37-6.290.700.271.71-8.52-2.01-1.511.532.581.56-7.270.332.003.021.832.673.653.433.422.421.582.840.852.852.124.322.730.823.373.623.292.882.873.603.613.182.884.023.913.642.843.751.423.428.241.18-0.453.611.603.051.721.080.11-1.912.00-3.01
0.310.300.290.290.290.290.270.270.260.250.150.260.260.270.170.270.190.280.290.310.310.320.340.330.340.330.320.320.330.340.310.330.350.340.370.360.380.380.380.390.390.380.380.380.400.380.370.380.410.350.370.390.400.420.400.370.390.370.370.320.300.32
0.840.810.790.860.880.870.800.770.770.770.460.820.850.920.550.950.680.950.971.041.061.081.071.131.181.141.081.101.131.161.091.031.111.111.181.221.261.271.331.231.231.151.181.141.151.051.031.031.120.960.940.970.980.990.960.870.980.940.880.730.620.70
1.571.471.481.581.671.651.551.341.251.190.931.411.441.450.881.361.161.471.451.411.441.461.541.441.501.491.511.521.571.521.581.561.641.551.741.671.741.721.791.711.751.721.871.691.781.661.691.651.681.381.641.681.681.651.741.481.651.601.791.371.321.37
57.3261.1660.8757.1254.0154.5758.0966.9771.7575.3696.3363.6962.7262.0210366.3577.2761.1561.9763.6562.5061.6858.6362.5259.9360.4559.6659.1357.4059.1457.0357.7454.7558.2051.6354.0151.7152.3650.1952.7651.5752.2548.2053.4150.4954.3253.2554.6053.4765.3654.9053.5453.7254.5651.5960.7554.4156.3650.1565.5868.1465.91
3.783.402.284.252.312.73-2.582.502.201.192.28-2.19-1.561.502.791.56-5.380.392.203.722.393.554.894.654.873.352.083.711.254.042.845.874.071.245.565.946.015.645.846.456.935.875.736.149.889.599.2312.065.5511.8432.414.91-1.9015.047.5917.7414.928.920.90-24.2824.74-101.73
10.069.446.2011.656.638.31-8.596.405.082.735.40-5.19-3.563.276.243.76-13.910.955.119.126.158.8213.4313.2714.6811.056.8011.974.5714.8512.6920.9417.866.1131.5524.0933.2544.9478.3218.3622.0520.6825.1325.0081.2181.06376-380.51-23.28-31.8346.865.87-2.2918.059.4523.5417.8310.781.10-35.5435.85-380.89
0.830.720.490.840.450.53-0.480.520.490.270.54-0.54-0.410.410.770.41-1.390.100.590.940.600.891.271.181.190.830.530.930.300.990.691.470.960.281.251.301.261.121.151.431.481.221.151.101.571.431.291.520.581.183.450.45-0.181.520.641.130.680.400.04-0.620.61-0.96
1.171.060.711.290.690.81-0.750.770.710.410.81-0.80-0.600.611.140.60-1.950.150.861.390.881.341.781.671.671.170.751.330.431.440.992.081.370.411.791.921.891.761.792.192.231.851.731.662.372.221.972.410.931.935.150.71-0.272.491.031.791.040.600.06-0.910.86-1.44
22.9122.7622.1821.9521.8521.7720.9223.3724.4826.0725.8026.8027.8228.5528.4326.4725.0926.6227.6026.7026.4626.0724.7624.8624.0324.4122.9921.9220.4819.9219.0318.9717.8517.7717.2917.7316.7515.7515.3515.5114.8714.1113.2011.459.899.018.327.636.436.275.394.894.874.913.922.951.951.961.931.131.130.46
-0.030.184.271.930.070.02-2.18-2.21-2.87-0.17-0.99-2.14-1.940.804.842.730.79-0.325.142.720.230.534.381.74-0.100.673.742.190.73-0.025.933.322.240.833.600.94-0.400.084.322.761.250.394.943.002.771.364.623.531.581.422.992.171.001.085.684.202.211.194.002.65-0.17-0.64
-1.05-0.272.180.44-0.90-0.36-3.61-3.52-3.58-0.62-1.15-4.20-3.140.273.281.610.12-0.601.900.15-1.44-0.321.00-0.90-1.65-0.041.500.67-0.27-0.503.611.671.100.100.66-1.56-2.01-0.852.411.800.300.144.252.751.711.022.692.001.011.192.071.380.550.965.354.022.161.173.492.24-0.46-0.76