RBC Bearings Financial Ratios for Analysis 2009-2024 | RBC

Fifteen years of historical annual and quarterly financial ratios and margins for RBC Bearings (RBC).

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
3.282.953.078.255.905.584.604.814.8610.129.758.027.174.107.386.39
0.300.350.420.010.010.040.160.260.360.010.020.02-0.000.120.21
0.430.550.710.010.020.050.210.380.590.020.020.020.000.090.140.27
42.9741.1637.8738.4439.7439.3838.3037.4136.6238.2139.3437.9435.3732.7130.7833.23
21.9319.9412.8418.8220.5318.7919.0818.6217.3819.8621.1619.3819.5316.7412.6215.45
21.9319.9412.8418.8220.5318.7919.0818.6217.3819.8621.1619.3819.5316.7412.6215.45
29.7728.2921.7924.2724.9223.1523.4923.3021.9223.3124.8223.1123.1920.7017.0018.93
16.7814.278.3518.5920.1717.9517.7617.0415.8618.9920.9519.9019.1115.7512.0214.45
11.989.794.5314.7916.5414.9712.9111.4810.6913.0814.3713.9812.5810.398.889.68
0.330.310.190.420.550.610.590.560.540.700.670.740.870.790.730.93
1.431.471.141.031.191.271.361.331.351.331.281.431.621.571.391.77
6.116.133.815.515.645.375.775.615.845.815.545.855.485.585.095.59
59.7059.5295.8166.2164.7267.9263.2165.0762.5362.8365.9162.4366.6365.3571.7265.34
7.636.572.317.3110.7610.8610.449.8510.2910.6011.1812.1912.9610.568.6013.46
-40.77-21.19-5.2511.2617.7619.0722.7728.0043.6311.7912.5313.5314.7212.3110.3316.38
4.493.551.136.289.109.177.636.375.829.229.7010.3910.888.196.499.02
5.334.241.357.2310.6110.408.817.266.5610.4510.9911.9612.9610.547.6110.67
94.2087.3882.1548.8444.6538.9734.1930.1625.7223.0523.2020.1117.4415.0713.0511.79
9.417.596.606.066.224.395.354.263.553.072.062.902.012.261.892.06
8.276.145.515.594.732.724.203.382.662.180.821.061.211.791.440.79

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
3.013.283.283.252.962.953.192.982.773.072.8816.568.238.257.837.476.375.905.605.145.155.586.445.715.794.604.654.684.524.814.795.275.044.865.895.585.2910.129.148.718.369.758.578.257.708.028.468.246.857.176.476.346.084.104.083.943.717.387.468.077.496.39
0.290.300.320.330.340.350.370.380.390.420.430.000.010.010.010.010.010.010.010.020.030.040.110.120.140.160.180.210.230.260.290.320.340.360.390.410.420.010.010.020.020.020.020.020.020.020.02------0.000.000.000.000.120.160.190.200.21
0.400.430.470.500.520.550.590.620.650.710.770.000.010.010.020.020.020.020.020.040.030.050.120.140.170.210.250.290.320.380.430.500.530.590.650.700.750.020.020.020.020.020.020.020.020.020.020.000.000.000.000.000.000.090.100.100.110.140.200.230.260.27
45.2943.1042.2643.1343.3742.2241.5240.9339.8838.3234.9738.8240.8338.9638.1138.6837.9941.2139.9539.0938.7040.0639.7439.2238.4938.8238.8237.6837.8439.8535.7236.8537.0437.2137.1135.0537.0839.6039.1835.3238.7939.7838.2939.8139.4239.4937.6637.3937.2036.9935.3634.7734.0734.1131.9532.7831.8731.4830.2929.9931.2334.52
24.0022.7720.1122.7721.9621.8320.0219.5018.2216.545.9410.3018.7720.5118.2018.0218.4119.4321.1720.5121.0722.1311.5720.7520.4621.1819.9515.4819.5022.0214.0019.2018.9019.0018.7615.8715.7122.3419.3616.2621.4322.1419.5521.1021.7215.2919.8921.1221.2821.6219.1418.7918.2318.0615.0216.7117.0514.4212.0611.3712.2111.88
24.0022.7720.1122.7721.9621.8320.0219.5018.2216.545.9410.3018.7720.5118.2018.0218.4119.4321.1720.5121.0722.1311.5720.7520.4621.1819.9515.4819.5022.0214.0019.2018.9019.0018.7615.8715.7122.3419.3616.2621.4322.1419.5521.1021.7215.2919.8921.1221.2821.6219.1418.7918.2318.0615.0216.7117.0514.4212.0611.3712.2111.88
--------------------------------------------------------------
19.6717.9115.1917.3516.5315.2913.6514.4913.5312.690.980.6818.8620.4518.0117.6418.1119.1120.7820.1420.6821.8011.1019.7218.9019.9118.7814.1817.9420.1512.7117.6417.3417.2317.2414.7414.0819.3318.9616.1921.4721.8919.2320.8721.6715.1019.3620.8224.2721.4618.8418.2417.5117.0714.0015.7016.1313.4511.7810.5111.9811.07
13.7113.5110.9111.9011.4411.008.7010.328.957.17-1.95-1.1615.3915.8614.7913.9614.5015.1017.2417.1916.6917.269.4417.4115.6114.8314.289.0213.3113.478.7111.8411.6711.6611.829.769.4213.1613.2211.7714.1816.0112.6913.8514.7210.2712.5716.4316.6113.9512.7911.8611.4811.109.0910.2911.0012.117.786.927.957.73
0.090.090.080.080.080.080.070.080.070.070.050.060.100.110.100.110.120.140.140.150.150.160.150.150.150.160.150.150.150.140.130.140.140.150.130.140.130.180.170.190.190.180.170.180.180.190.180.200.210.240.220.230.220.210.200.210.220.210.180.170.170.22
0.350.380.340.360.360.390.360.390.390.430.340.270.250.270.240.240.260.300.290.310.330.330.310.320.350.360.340.340.350.330.330.340.340.360.330.370.350.330.320.370.340.350.310.320.340.360.350.380.400.440.380.410.410.410.400.410.420.400.340.320.320.41
1.601.621.631.581.541.651.641.561.511.451.341.471.481.451.371.351.381.441.451.401.401.391.471.451.511.541.521.501.461.461.491.481.521.591.601.531.401.481.601.561.551.501.491.421.481.491.561.441.491.531.511.451.441.481.531.431.471.481.461.321.301.32
56.4255.5255.3157.0958.5454.6854.9257.6659.7362.0767.3661.3360.9362.0265.7266.4765.0962.4761.9564.1364.0964.5961.2462.2159.4358.4959.2960.0861.8561.6360.3360.7759.1056.7756.3758.7964.4860.8356.3657.5758.2259.8760.2463.6060.9960.2457.7662.3060.4258.6659.5261.9162.4860.8458.9762.8261.1960.8561.6968.1969.4568.37
2.192.241.731.961.931.941.461.801.561.330.02-0.061.892.061.791.741.992.512.833.003.063.251.743.303.173.202.981.932.903.011.862.742.803.052.862.522.362.722.642.543.123.382.472.833.152.292.683.804.254.023.313.273.092.992.322.793.103.411.911.631.922.53
-13.76-11.96-7.88-7.75-6.95-6.25-4.24-4.77-3.82-3.02-0.05-0.072.853.182.802.783.224.144.785.225.245.703.166.496.596.976.924.737.568.565.859.2810.4412.9214.3014.9314.163.022.952.853.523.792.783.183.482.542.984.244.794.573.793.763.573.482.723.293.704.092.301.962.333.08
1.311.320.991.101.061.050.770.930.790.650.01-0.051.611.771.531.491.682.122.402.512.562.741.382.552.392.332.111.331.951.951.161.651.641.721.551.321.212.362.282.182.672.932.122.422.681.952.273.263.553.382.762.722.562.321.812.172.392.571.381.151.321.70
1.561.561.181.311.271.250.921.110.940.780.01-0.061.872.041.771.721.962.472.792.932.983.111.552.912.722.702.441.522.242.221.321.851.841.941.751.501.362.682.602.503.073.322.422.783.092.242.633.804.254.023.313.273.092.982.312.783.093.021.601.321.532.01
95.9694.2092.4490.5789.0687.3885.4984.0982.9182.1580.8680.9550.1348.8447.9445.1345.5744.6543.1240.3140.0938.9738.0537.3235.7734.1932.8831.7330.9930.1627.8127.2926.5025.7224.6824.5724.1923.0522.8122.2821.9923.2022.3321.6020.8120.1119.6719.1518.1317.4416.6316.1815.7915.0714.5614.0813.4413.0512.6712.4612.1411.79
3.329.416.683.942.127.595.133.042.046.604.663.672.106.064.412.981.946.224.452.591.624.393.192.341.385.353.782.631.654.263.131.620.813.552.631.710.943.072.671.911.152.061.540.930.752.902.151.311.172.011.420.770.542.261.831.170.721.891.610.980.772.06
3.028.275.873.451.896.144.112.241.775.513.903.401.975.594.062.741.784.733.351.781.132.722.011.621.094.202.942.111.413.382.531.220.592.662.011.300.722.181.991.421.000.820.570.300.501.060.810.800.911.210.920.440.451.791.500.960.631.441.260.710.580.79