Q.E.P Financial Ratios for Analysis 2009-2024 | QEPC

Fifteen years of historical annual and quarterly financial ratios and margins for Q.E.P (QEPC).

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
2024202320222021202020192018201720162015201420132012201120102009
2.871.651.521.481.291.381.961.801.631.531.431.882.00--1.12
-0.070.100.120.110.130.020.100.140.160.150.090.10--0.18
0.010.370.460.480.820.820.260.400.530.690.620.300.28--1.90
32.5427.1727.1028.0426.3826.5227.7528.0226.3726.8228.1528.6630.1830.9231.7527.52
5.283.443.112.87-3.23-1.534.723.892.581.423.274.086.196.386.66-2.17
5.283.443.112.87-3.23-1.534.723.892.581.423.274.086.196.386.66-2.17
6.334.854.054.05-2.02-0.295.915.214.013.144.685.127.196.386.66-1.19
4.732.672.832.45-3.25-1.054.433.572.210.976.744.275.835.806.10-3.03
-1.87-0.022.171.78-3.08-0.802.462.381.290.625.312.873.913.974.36-3.56
2.001.372.162.062.131.852.282.212.192.082.082.813.00--2.95
5.685.283.314.164.203.044.835.475.324.945.075.435.81--6.04
8.317.197.967.298.007.127.788.067.837.466.627.177.39--7.61
43.9450.7945.8750.0845.6551.2746.9245.3146.6148.9655.1450.9249.41--47.95
12.575.7612.159.73-19.35-4.009.869.855.852.8424.1915.8022.66---47.72
12.595.7714.4512.32-26.07-5.7512.0712.077.573.9535.6417.0622.84---57.02
7.262.284.683.67-6.57-1.475.635.252.811.3011.048.0511.72---10.52
12.575.3810.948.55-17.20-3.499.638.875.032.3720.5414.2620.22---38.22
22.1023.6424.0121.4319.9922.8924.1122.3320.3319.5019.5215.0412.96--4.19
8.80-0.02-3.307.442.49-3.881.663.504.031.222.212.333.420.000.00-0.15
7.70-1.09-3.008.182.21-6.164.202.893.780.893.271.983.12---0.29

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
2024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
3.152.872.171.711.721.651.551.471.501.521.481.481.471.481.451.391.341.291.371.371.381.381.461.631.671.961.771.771.751.801.781.761.661.631.641.621.551.531.591.551.571.431.431.411.361.881.791.701.982.002.011.881.731.651.521.421.411.41---1.12
0.00--0.000.060.070.070.080.080.100.090.090.100.120.140.120.100.110.130.140.120.130.130.020.020.020.080.080.090.100.110.120.130.140.140.150.160.160.200.210.220.150.060.060.070.090.080.090.090.100.130.140.150.210.230.260.290.31---0.18
0.000.010.110.290.380.370.570.710.600.460.420.450.490.480.530.520.620.820.780.730.820.820.790.310.260.260.360.370.400.400.420.440.510.530.540.560.610.690.700.760.770.620.570.570.610.300.330.350.250.280.330.440.510.610.740.901.061.03---1.90
35.4267.9532.7529.5330.3920.2027.7825.3126.3726.2727.2327.4827.3727.0528.9728.5527.5225.7527.3926.2526.1526.1725.4927.0827.4926.0927.9328.2528.5827.4728.2428.1428.2025.2625.8827.0627.1424.7827.5327.0027.7026.7628.9628.3628.4527.7129.2228.7928.8828.5229.1830.1132.7032.7931.3129.4530.2732.6932.2731.4230.6326.09
8.2337.953.552.984.75-14.642.87-0.111.492.003.683.203.492.193.354.131.58-7.520.03-2.06-3.46-7.12-1.961.082.458.540.954.874.771.414.394.824.710.622.034.532.90-0.151.581.572.441.403.653.654.181.844.374.695.393.345.525.779.806.867.495.675.515.206.816.867.74-1.33
8.2337.953.552.984.75-14.642.87-0.111.492.003.683.203.492.193.354.131.58-7.520.03-2.06-3.46-7.12-1.961.082.458.540.954.874.771.414.394.824.710.622.034.532.90-0.151.581.572.441.403.653.654.181.844.374.695.393.345.525.779.806.867.495.675.515.206.816.867.74-1.33
--------------------------------------------------------------
8.5239.973.022.353.83-13.551.91-0.621.171.743.382.933.201.802.953.701.11-8.11-0.57-2.71-1.79-4.33-2.480.872.258.270.644.574.480.884.084.684.360.231.694.182.49-0.441.080.942.0612.563.303.357.922.275.184.425.163.035.195.419.386.316.965.064.924.696.326.257.10-1.73
7.03-12.09-7.861.691.402.080.33-0.440.841.792.432.112.311.372.132.660.80-8.94-0.41-1.95-1.29-3.28-1.780.631.623.880.402.852.801.182.552.932.73-0.501.102.721.62-0.390.690.671.3710.692.272.316.171.743.662.763.271.963.344.026.104.574.853.293.204.924.054.054.47-2.26
0.510.100.500.550.35-0.190.350.520.540.520.550.570.590.530.540.570.500.510.490.500.510.480.510.590.580.540.540.560.560.510.550.570.560.510.540.570.540.460.490.490.510.480.560.600.640.690.710.680.770.700.760.760.770.630.700.700.700.58---0.60
1.400.131.201.210.67-0.810.590.880.900.800.951.061.161.081.151.180.921.020.920.950.930.790.881.181.181.161.271.301.311.281.331.331.311.251.261.311.261.131.171.291.371.201.291.391.531.351.421.351.491.381.521.441.421.091.501.521.461.10---1.24
2.280.401.932.031.33-1.001.492.082.101.902.112.092.111.872.021.942.031.931.962.082.121.841.852.041.941.821.862.001.981.871.901.951.971.821.931.831.761.661.711.611.671.541.601.691.721.761.761.651.871.721.861.941.941.781.741.761.731.52---1.54
39.5022746.6844.4167.64-89.6360.3143.3242.8847.4042.5843.0342.7248.0644.5646.2744.2746.7546.0343.2542.5048.8348.6744.1746.3449.3848.4745.0145.4348.1947.4146.0745.5849.4946.6949.1751.1354.1652.6756.0753.9658.4256.4153.1252.3451.0951.2254.5448.1952.3548.3846.4046.3450.6851.7751.0751.9359.20---58.58
5.175.522.142.082.303.831.31-0.661.242.403.523.173.591.923.044.101.09-13.51-0.56-2.73-1.79-4.27-2.290.711.753.640.403.002.971.142.693.233.10-0.531.243.251.91-0.400.770.761.6111.332.793.079.162.365.234.054.942.654.976.4010.517.299.337.047.499.54----6.12
5.175.532.162.362.633.841.51-0.771.462.864.243.884.492.433.895.351.43-18.20-0.78-3.83-2.53-6.14-3.211.002.484.450.493.673.671.393.344.093.99-0.691.644.392.61-0.551.081.102.3416.684.374.8314.592.545.644.395.182.675.246.7911.217.7710.027.678.2410.55----7.31
3.133.191.080.920.961.520.48-0.230.460.921.331.201.360.731.141.510.40-4.58-0.20-0.98-0.65-1.57-0.900.370.942.080.211.591.560.611.391.671.52-0.260.591.550.87-0.180.340.330.695.171.281.393.941.202.601.882.531.372.533.074.672.893.412.302.242.83----1.35
5.175.522.142.072.173.581.21-0.611.152.163.212.873.221.692.633.610.98-12.01-0.49-2.36-1.57-3.72-1.990.701.713.550.372.742.701.022.382.832.69-0.461.062.761.60-0.330.610.601.249.622.612.878.502.134.783.664.452.364.295.488.835.717.115.145.256.51----4.90
23.1122.1022.9924.5923.9923.6423.8023.5524.0724.0123.3422.7022.1921.4320.9720.2819.2019.9921.6621.6522.3322.8923.8024.4124.3624.1124.0523.9923.0222.3322.0821.6221.1420.3320.5220.4119.8519.5019.9019.9719.9319.5217.3616.8216.4315.0414.8314.0313.3712.9612.5012.1711.5210.199.248.207.507.29---4.19
1.818.808.887.013.91-0.02-0.66-4.39-2.63-3.301.510.500.427.449.156.233.192.490.541.43-1.34-3.88-0.930.221.261.662.101.430.373.502.130.900.274.033.101.020.881.220.980.10-0.062.211.070.920.362.331.761.150.343.422.691.501.020.002.011.06-0.050.003.881.890.86-0.15
1.617.708.136.543.81-1.09-1.58-5.13-3.09-3.001.620.400.398.189.056.173.132.210.351.35-1.41-6.16-2.89-0.620.994.201.190.67-0.262.891.750.680.203.782.940.950.810.890.75-0.03-0.093.272.182.171.641.981.550.970.293.122.451.340.92-1.460.71-0.08-3.751.850.85-0.29