REX American Resources Financial Ratios for Analysis 2009-2024 | REX

Fifteen years of historical annual and quarterly financial ratios and margins for REX American Resources (REX).

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
6.826.836.848.428.5814.7310.9310.069.138.994.633.653.415.123.612.45
----------0.170.250.280.210.320.28
----------0.240.390.440.300.510.42
11.795.6811.705.244.886.219.7615.6511.6524.809.652.108.5214.2512.301.51
8.263.018.920.510.211.994.4410.947.1121.416.970.195.9810.518.67-7.77
8.263.018.920.510.211.994.4410.947.1121.416.970.195.9810.518.67-7.77
11.025.7411.966.816.567.099.1815.2411.3824.349.572.728.9418.1214.92-0.39
11.825.559.791.131.553.005.6112.5411.8026.709.00-0.5511.9414.718.62-12.73
7.313.246.760.811.786.508.777.137.2015.265.27-0.356.912.155.10-4.81
1.251.481.410.780.831.030.951.001.051.251.561.620.930.630.380.15
27.2416.5416.209.4411.1524.7019.6822.4422.4523.8231.0725.8012.3225.8317.122.77
28.8230.4023.8414.4821.9925.5223.1834.9923.0748.4439.7550.8428.0113.007.745.72
12.6612.0115.3125.2016.6014.3015.7510.4315.827.549.187.1813.0328.0847.1663.79
12.927.4211.651.091.868.4210.4010.1810.5226.2512.60-0.7511.558.263.66-2.28
12.927.4211.651.091.868.4210.4010.1810.5226.2512.60-0.7511.558.263.66-2.28
11.426.5510.320.991.697.969.388.709.0222.579.15-0.517.435.932.23-1.33
12.927.4211.651.091.868.4210.4010.1810.5226.2510.46-0.568.346.542.50-1.64
33.5729.3827.4524.3224.0323.6621.9319.7317.8416.5812.7911.2211.289.589.359.37
7.283.115.110.470.552.482.073.501.835.632.630.691.270.950.380.10
5.142.224.83-0.090.351.920.862.851.225.302.840.651.161.01-0.70-2.92

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
8.076.726.828.598.169.976.836.538.528.826.846.607.369.118.429.4611.6512.448.5810.6611.6312.4814.7312.6110.9412.1410.9310.1112.2210.0210.069.4111.9312.289.137.799.2313.368.993.754.035.434.634.053.533.603.653.724.424.053.414.444.935.015.123.543.433.673.612.873.312.462.45
---------------------------------------0.040.090.150.170.210.220.240.250.250.260.270.280.190.190.200.210.270.280.290.320.330.330.300.28
---------------------------------------0.090.170.200.240.300.340.370.390.390.400.410.440.280.280.280.300.420.440.450.510.550.540.450.42
13.358.9616.2117.778.664.786.654.215.876.1315.0212.397.2311.878.9515.24-3.38-11.2112.03-2.033.783.491.966.267.308.985.5012.279.9111.0420.7017.3414.948.408.5412.9116.118.6823.4826.3625.8523.5018.0710.856.205.04-1.402.094.543.6612.5910.67-0.305.8146.139.947.7311.5017.699.406.942.2813.45
9.005.1712.2714.334.592.074.091.573.093.4515.449.284.055.845.5111.80-14.67-16.747.14-6.80-0.72-1.04-1.991.892.555.21-0.466.215.526.2614.8812.9710.444.394.648.6410.424.4420.3023.2222.6319.5414.438.093.812.94-3.270.412.211.8610.407.90-2.972.9135.607.354.888.5715.346.91-2.56-6.109.08
9.005.1712.2714.334.592.074.091.573.093.4515.449.284.055.845.5111.80-14.67-16.747.14-6.80-0.72-1.04-1.991.892.555.21-0.466.215.526.2614.8812.9710.444.394.648.6410.424.4420.3023.2222.6319.5414.438.093.812.94-3.270.412.211.8610.407.90-2.972.9135.607.354.888.5715.346.91-2.56-6.109.08
---------------------------------------------------------------
13.169.9017.3018.677.574.086.662.778.004.5517.279.475.016.216.1113.16-15.46-16.518.69-5.660.690.16-1.483.033.776.331.517.645.957.0717.4114.8011.714.975.7910.0124.136.5226.1429.3127.1224.4519.119.545.883.27-4.690.551.111.2415.3514.114.289.5165.0810.131.7910.5718.676.16-6.35-16.80-26.55
8.356.3210.9611.794.272.464.081.454.652.6710.117.524.034.752.817.12-4.44-9.173.65-2.372.132.700.939.607.167.8617.3910.872.704.0210.187.697.072.833.446.7414.423.7315.9416.8614.5813.9410.875.943.321.97-2.560.230.530.628.737.673.185.73-15.916.051.905.889.483.694.89-12.15-27.08
0.220.240.280.350.360.380.350.380.430.350.390.390.390.340.260.260.080.170.240.180.210.210.240.260.270.250.230.260.240.250.270.270.280.250.260.260.270.230.280.290.320.350.340.400.430.440.430.430.370.350.390.240.200.210.080.160.150.160.170.140.040.030.04
4.405.425.834.854.214.903.835.024.533.234.275.984.355.423.064.871.343.402.982.854.625.016.015.364.744.224.994.404.434.935.654.934.163.575.714.094.094.915.418.876.446.226.189.095.608.007.066.194.985.684.887.497.146.031.996.009.428.497.267.282.042.150.71
5.026.176.496.395.636.227.127.525.416.166.524.425.374.894.896.741.936.686.353.676.895.405.945.145.594.155.6111.248.7211.039.377.646.655.845.677.266.809.7710.8113.0810.748.348.7214.749.359.2913.449.589.349.1511.609.889.367.791.603.574.435.203.504.421.811.281.66
17.9414.5813.8714.0815.9914.4712.6511.9716.6514.6113.8020.3716.7518.4218.4013.3646.6013.4714.1824.5213.0616.6615.1417.5116.0921.6916.048.0110.328.169.6011.7813.5315.4015.8812.3913.249.228.336.888.3810.7910.326.119.639.696.709.399.639.837.769.119.6111.5556.3825.2220.3117.3025.7320.3849.8170.0854.31
2.442.054.315.592.301.292.190.982.961.415.323.201.771.790.892.60-0.46-1.910.68-0.370.740.830.653.072.402.394.663.631.051.424.003.062.490.981.362.595.061.126.057.427.367.195.853.602.321.35-1.950.290.410.476.382.990.611.834.501.610.191.803.621.02-0.34-0.64-1.22
2.442.054.315.592.301.292.190.982.961.415.323.201.771.790.892.60-0.46-1.910.68-0.370.740.830.653.072.402.394.663.631.051.424.003.062.490.981.362.595.061.126.057.427.367.195.853.602.321.35-1.950.290.410.476.382.990.611.834.501.610.191.803.621.02-0.34-0.64-1.22
2.211.833.815.042.071.181.930.852.661.274.712.841.591.640.822.38-0.43-1.770.61-0.340.680.750.622.892.202.174.203.160.911.223.422.632.160.851.162.234.400.975.206.055.695.414.252.581.620.93-1.320.190.280.314.112.210.451.333.231.040.121.152.210.59-0.20-0.38-0.71
2.442.054.315.592.301.292.190.982.961.415.323.201.771.790.892.60-0.46-1.910.68-0.370.740.830.653.072.402.394.663.631.051.424.003.062.490.981.362.595.061.126.057.156.666.134.862.841.811.03-1.460.220.300.344.612.420.491.473.561.170.141.292.480.68-0.22-0.45-0.88
35.0834.1933.5732.3130.4829.7529.3828.8528.5427.8527.4526.1725.2424.7924.3224.1923.5423.6724.0323.7823.8723.8623.6623.6322.9022.4321.9320.9920.1820.0119.7318.9618.3818.0217.8417.7317.8316.8316.5815.9714.7913.7112.7912.1311.6311.3711.2211.4111.2411.2511.2810.499.669.599.589.909.619.539.359.699.449.349.37
0.32-0.137.283.830.38-0.803.113.070.04-0.995.112.820.950.750.471.17-0.48-0.010.55-0.120.660.082.481.510.94-0.182.071.720.680.443.502.090.57-0.291.831.050.110.225.634.692.511.102.631.770.340.360.690.530.140.201.270.810.450.320.950.630.530.460.38-0.03-0.140.370.10
-1.94-1.535.142.56-0.09-1.042.222.66-0.12-1.074.832.580.800.68-0.090.81-0.79-0.260.35-0.260.580.051.921.090.64-0.330.860.75-0.040.142.851.570.15-0.511.220.67-0.060.185.304.392.391.082.841.820.350.360.650.520.130.151.160.910.480.311.010.740.560.44-0.70-1.21-1.25-0.40-3.12