RB Global Financial Ratios for Analysis 2009-2024 | RBA

Fifteen years of historical annual and quarterly financial ratios and margins for RB Global (RBA).

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
1.351.211.301.081.361.371.311.501.481.551.381.381.331.331.18
0.380.310.620.380.410.450.520.460.070.140.170.230.180.190.19
0.620.471.630.660.720.871.100.890.160.170.260.370.240.240.25
48.3355.2057.4355.3051.0254.4154.7388.3489.1487.9788.4588.6587.8786.8486.77
12.8126.1616.9519.1116.9315.8311.0623.9633.8926.5929.3027.4126.1925.7433.73
12.8126.1616.9519.1116.9315.8311.0623.9633.8926.5929.3027.4126.1925.7433.73
25.3732.8824.0625.4423.2021.5216.4931.1842.0435.8538.5636.8036.8936.3242.15
7.6723.4214.4817.1314.4713.037.9723.0434.2026.8228.8325.5827.2725.4234.87
4.7518.4410.7212.3511.3010.387.7316.2126.4018.9120.0418.1619.3518.4424.77
0.310.610.390.590.590.570.480.350.460.430.400.390.410.410.44
11.427.535.897.139.944.7111.502.320.961.351.030.820.981.777.51
4.969.338.5210.109.148.638.718.568.336.075.445.766.505.977.26
73.5539.1142.8636.1339.9242.3141.9142.6443.8060.1667.0663.3956.1961.0950.28
4.1024.7914.1816.8316.4414.5210.1113.4419.5913.3813.6012.5711.9211.2716.91
-8.471,719-66.85-131.9011,499-150.7810217.7824.3516.4116.4715.1012.8712.2518.45
1.7111.174.237.246.695.923.735.8512.378.258.137.297.617.4810.73
2.5517.135.4110.409.727.924.897.2418.1911.5311.229.639.809.1313.64
27.4511.649.689.218.307.706.946.516.606.43-----
3.234.142.852.343.031.321.361.651.831.381.371.251.320.381.31
2.075.332.782.362.961.261.311.541.781.241.170.760.69-0.13-0.14

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
1.291.291.351.311.321.301.211.271.261.211.301.211.161.071.081.341.251.211.361.231.241.301.371.281.261.231.311.201.241.301.501.301.421.171.481.341.301.281.551.301.291.191.381.231.161.251.381.201.221.171.331.191.201.161.331.121.131.081.181.131.221.10
0.350.370.380.390.390.390.310.340.340.560.620.370.370.380.380.390.400.420.410.440.450.450.450.470.480.500.520.530.530.460.460.130.130.080.070.070.070.140.140.140.140.140.170.180.180.230.230.240.240.180.180.180.180.190.190.190.190.200.190.190.190.15
0.550.580.620.640.640.670.470.520.521.311.630.610.630.660.660.680.720.790.720.820.850.850.870.930.951.041.101.151.160.890.890.200.170.210.160.160.170.170.170.230.220.220.260.320.360.350.370.380.380.300.240.270.270.310.240.280.240.250.250.240.230.18
47.8648.3847.4246.3847.6555.5255.8254.1254.3456.6959.8958.1156.5255.1853.9459.1453.0755.7454.7352.1149.1248.4146.9656.2359.5756.7852.7053.4157.2456.0088.9388.5587.5688.3988.6788.9889.0589.9687.3687.8187.5789.5486.9088.7587.8890.8289.1087.7787.8289.9988.0787.0886.6589.9086.2188.2285.9987.2033786.1486.6289.42
18.3318.6816.4514.3016.20-4.8614.8015.4318.9159.0814.6116.2622.5813.4219.0120.3222.8212.4721.5213.8619.8311.0715.8212.7121.0012.6313.727.4510.6411.8327.681.7733.7729.6937.1926.1640.3928.5627.9319.3836.4817.9836.8224.0132.4521.1828.2716.1734.6827.5325.8911.0940.3221.8821.2421.9634.0124.02-157.3120.4245.9733.50
18.3318.6816.4514.3016.20-4.8614.8015.4318.9159.0814.6116.2622.5813.4219.0120.3222.8212.4721.5213.8619.8311.0715.8212.7121.0012.6313.727.4510.6411.8327.681.7733.7729.6937.1926.1640.3928.5627.9319.3836.4817.9836.8224.0132.4521.1828.2716.1734.6827.5325.8911.0940.3221.8821.2421.9634.0124.02-157.3120.4245.9733.50
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13.4713.1410.978.4610.79-7.3213.3114.0015.4854.4011.5213.7820.6511.0317.1418.3820.7610.4219.3811.0517.688.1813.3111.3717.758.6410.613.068.618.9023.831.6933.8829.9637.3826.5440.6929.0130.6515.5536.4719.2436.1424.2332.1420.0526.7312.1532.7527.4733.9112.5532.4525.3219.9321.2635.8322.4413520.2346.5535.16
9.199.127.405.367.00-6.6710.2110.4311.0245.218.519.8115.338.5012.7413.6913.638.3515.538.7213.745.999.979.4314.826.5912.604.516.985.2018.98-3.9925.0122.2934.3519.0529.0020.5721.159.1427.2214.4625.7215.5323.4013.7618.878.8524.6117.7423.608.2023.3718.7315.3116.3925.2815.3222.4816.9832.2523.76
0.090.090.090.080.090.040.160.150.170.100.100.130.150.130.160.130.160.120.150.120.170.140.170.110.150.120.140.110.120.110.090.100.120.100.120.090.130.100.120.080.110.080.110.090.100.080.100.070.100.090.120.080.100.080.100.080.110.080.110.070.120.09
3.923.183.293.143.221.101.901.861.772.161.412.152.012.062.052.182.891.962.322.612.542.071.671.271.963.273.612.293.824.200.570.350.270.520.260.280.490.420.410.180.330.200.330.220.310.280.210.370.300.120.280.330.380.140.460.461.510.487.511.522.531.69
1.171.111.401.071.180.632.391.331.591.282.161.261.431.122.810.991.171.082.301.111.141.332.620.961.531.302.620.971.661.562.220.651.150.942.190.761.140.911.750.560.920.681.530.590.660.681.540.410.610.661.860.690.780.551.480.471.260.871.870.511.050.60
76.6981.0864.1184.0176.3614237.6767.7956.4770.2841.6771.2762.9380.6032.0090.6977.2383.5839.0780.8779.0367.7134.2994.1158.9269.0734.4092.5154.1457.5140.5713878.5195.2841.1311878.7499.0251.5416298.2713258.8915113613258.4421814713648.4013111616460.9619371.5210448.1417586.00151
2.152.121.681.291.76-0.583.523.464.2914.532.853.055.732.784.834.715.872.705.693.006.472.184.242.825.782.274.951.432.471.504.01-0.725.674.406.583.026.463.734.421.335.282.054.862.434.542.153.371.264.882.854.331.094.252.742.342.364.792.354.012.417.554.27
-5.14-4.64-3.46-2.48-3.451.09244-139.29-154.87-277.40-13.46-53.48-87.06-22.24-37.8863.77541-45.253,976-40.56-71.82-22.54-44.00-22.22-34.01-9.7949.90-4.89-8.581.995.31-0.937.535.958.183.657.864.635.191.626.382.495.882.955.502.614.041.515.823.084.681.184.592.972.542.565.222.574.382.628.194.67
0.920.890.700.530.73-0.241.591.521.854.610.851.262.331.072.081.792.141.022.311.072.280.821.731.072.160.811.830.480.860.591.75-0.393.062.254.151.753.702.072.610.742.971.112.901.332.311.091.950.632.481.532.770.622.331.481.551.232.781.292.551.213.962.22
1.391.341.040.791.08-0.352.432.292.836.351.091.913.601.722.992.873.501.573.361.673.551.192.311.482.981.132.390.681.170.812.16-0.634.964.076.112.805.983.213.651.144.551.764.011.993.711.652.580.963.732.353.560.893.482.231.891.913.871.893.241.946.113.64
27.9927.6127.4526.9627.0526.7611.6411.1811.2311.079.689.629.629.179.218.828.327.818.307.797.767.657.707.567.327.056.946.716.696.516.516.546.726.436.60---6.43-----------------------
2.500.683.231.130.27-0.484.142.351.771.662.852.731.901.622.342.411.810.043.032.831.460.651.320.880.990.621.360.911.071.251.651.501.381.551.831.471.241.021.390.840.990.991.771.071.371.461.251.471.010.601.321.531.510.510.381.040.890.891.302.221.931.31
2.100.432.070.46-0.06-0.665.333.593.213.112.782.681.861.612.362.461.910.012.962.811.420.631.260.790.950.611.310.871.051.241.541.411.351.531.781.401.241.001.470.660.880.931.550.821.221.390.761.050.720.380.691.091.240.41-0.130.680.610.71-0.141.131.190.98