Sturm, Ruger Financial Ratios for Analysis 2009-2024 | RGR

Fifteen years of historical annual and quarterly financial ratios and margins for Sturm, Ruger (RGR).

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
4.292.224.262.874.073.263.172.652.311.961.791.632.953.162.98
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24.5730.2238.2633.6524.2527.1129.4933.0531.2431.0737.5736.3933.9932.9132.33
9.5817.3627.8020.949.5913.5214.6220.2317.1610.3525.4122.5818.9817.0016.20
9.5817.3627.8020.949.5913.5214.6220.2317.1610.3525.4122.5818.9817.0016.20
13.6921.6931.3825.7916.7419.9721.1825.5523.7317.0928.3725.6122.6820.6118.90
10.8218.1728.2721.2710.4813.8614.8720.4617.4410.5125.4622.7919.3217.3016.37
8.8714.8221.3315.897.8710.289.9813.1711.277.0916.1714.3612.1711.0710.15
1.361.231.651.631.181.481.841.921.742.142.482.821.591.621.91
5.146.4010.2912.9810.9911.509.278.1610.218.4018.4719.5421.2417.4218.99
9.089.1012.819.837.8011.018.699.577.6810.9510.2111.437.798.0910.82
40.1840.0928.4937.1346.8033.1641.9938.1547.5033.3435.7331.9346.8745.1433.74
14.5327.8942.8734.1511.3119.2822.6632.9027.2820.8362.1374.3229.1224.6828.79
14.5327.8942.8734.1511.3119.2822.6632.9027.2820.8362.1374.3229.1224.6828.79
12.0918.2235.2425.969.2515.1818.3425.2219.6715.1940.1540.4819.3817.9119.41
14.5327.8942.8734.1511.3119.2822.6632.9027.2820.8362.1374.3229.1224.6828.79
19.0017.9320.6715.1316.3615.1413.2114.2312.179.909.264.937.206.085.01
1.904.349.718.092.796.795.645.505.812.806.004.443.001.682.42
1.022.798.106.741.656.193.773.674.340.503.273.101.860.681.70

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
4.504.845.174.294.484.484.292.225.836.135.084.263.843.673.452.873.163.864.234.074.725.134.083.263.473.343.013.172.822.742.182.652.712.782.612.312.352.152.121.962.692.291.861.791.851.781.581.633.183.323.082.953.253.213.003.163.724.023.122.982.803.012.92
---------------------------------------------------------------
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18.5422.3021.4924.7020.4526.7125.7526.5127.8930.9734.8837.7536.3639.3639.3637.9335.1130.7729.1223.5720.9123.1528.5827.9524.4428.5027.3127.9928.8326.5033.3133.0531.1333.7634.1531.6628.1434.4330.2327.7024.1432.7735.9834.9836.8239.3939.3234.8936.0337.7537.2032.3636.1835.7531.8132.0131.8233.7633.8833.2930.6034.5830.74
3.066.865.507.905.2312.9011.3913.1914.2517.9123.2526.6526.2129.8228.1824.8722.5518.4416.319.405.877.7514.4314.1110.4015.0814.1811.7312.7111.6020.2419.5618.6321.7220.9117.1214.8618.9517.37-20.1010.1321.5122.3523.2426.2028.2723.8021.9423.0523.6821.7317.1720.9721.4316.5113.3215.9419.6318.8914.3515.9219.3114.85
3.066.865.507.905.2312.9011.3913.1914.2517.9123.2526.6526.2129.8228.1824.8722.5518.4416.319.405.877.7514.4314.1110.4015.0814.1811.7312.7111.6020.2419.5618.6321.7220.9117.1214.8618.9517.37-20.1010.1321.5122.3523.2426.2028.2723.8021.9423.0523.6821.7317.1720.9721.4316.5113.3215.9419.6318.8914.3515.9219.3114.85
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4.318.006.619.196.6914.1712.3714.5215.0618.5623.7227.3226.9430.1228.4125.1522.5818.9616.8310.316.718.7315.2614.5110.6115.6114.4112.1212.8211.9020.4319.9918.8721.8821.0117.3415.0319.3617.69-20.2210.7821.5722.5423.0126.4128.3423.9622.1523.3123.9121.8717.9121.1721.5616.7213.9216.1619.8619.0314.9216.1019.3414.74
3.876.325.187.856.1511.339.6012.7013.1914.7618.1522.6919.7522.1820.7118.7416.9914.2712.417.815.076.4711.4310.138.0111.8310.888.758.947.7413.2812.8712.3014.0013.4511.229.9012.4711.32-12.046.9014.5014.3214.6116.7718.0015.2113.9614.6815.0713.7811.2813.3413.5810.538.9110.3412.7112.189.259.9911.999.14
0.330.350.360.330.300.360.380.310.300.320.370.380.420.500.510.490.470.330.340.300.290.300.340.360.360.410.430.420.380.460.550.470.450.490.530.480.410.480.510.480.370.540.590.660.680.760.740.810.480.520.510.450.430.450.450.410.400.440.460.450.510.560.54
1.311.391.571.231.211.511.791.691.631.702.312.392.903.793.893.616.967.474.792.842.281.792.232.783.323.823.652.141.431.862.031.992.552.873.532.812.132.703.261.981.562.563.735.085.416.786.715.775.658.089.266.176.6312.6314.504.443.794.796.304.417.017.815.29
2.032.332.082.182.022.692.292.282.272.502.402.952.482.632.522.922.502.432.212.001.702.322.182.692.462.562.151.971.972.372.162.332.302.582.322.122.282.602.172.472.142.972.432.702.683.132.623.302.492.532.292.212.412.502.482.032.252.882.472.552.662.632.48
44.2738.6343.2941.2544.5933.4439.2839.4739.6235.9937.4730.5536.2834.2135.7130.7735.9637.0740.6445.0653.0438.7741.2133.4636.6535.1441.9545.7445.6437.9341.7338.6239.2134.8238.8642.3639.4534.5741.4236.5141.9630.2837.0333.3433.6128.7534.3427.3136.1635.6339.2840.7637.3636.0136.3044.2939.9731.2936.4035.2933.8134.2336.28
1.502.572.133.092.224.864.465.984.615.368.0010.4810.4113.9113.2411.9810.265.975.152.881.742.264.764.653.626.095.984.504.214.489.887.837.469.239.717.515.598.447.93-7.963.2910.7612.6114.8418.7923.8021.2520.829.9711.0710.347.667.848.406.674.995.577.498.076.198.0710.537.89
1.502.572.133.092.224.864.465.984.615.368.0010.4810.4113.9113.2411.9810.265.975.152.881.742.264.764.653.626.095.984.504.214.489.887.837.469.239.717.515.598.447.93-7.963.2910.7612.6114.8418.7923.8021.2520.829.9711.0710.347.667.848.406.674.995.577.498.076.198.0710.537.89
1.272.191.842.571.864.083.693.913.994.686.778.628.3811.1310.499.117.974.774.232.351.471.943.933.662.914.864.703.643.383.597.316.005.506.847.155.414.086.025.79-5.802.567.868.409.5911.4513.6611.2211.347.007.826.995.095.786.174.773.624.105.605.614.175.086.754.90
1.502.572.133.092.224.864.465.984.615.368.0010.4810.4113.9113.2411.9810.265.975.152.881.742.264.764.653.626.095.984.504.214.489.887.837.469.239.717.515.598.447.93-7.963.2910.7612.6114.8418.7923.8021.2520.829.9711.0710.347.667.848.406.674.995.577.498.076.198.0710.537.89
18.7618.9019.0819.0018.9218.8018.1917.9322.5621.9021.4320.6719.2118.1416.4115.1313.7917.8117.0316.3615.9115.7815.6915.1414.5614.2913.6713.2112.7712.8812.7414.2314.0313.4312.6412.1711.4511.1210.469.9010.6210.679.949.267.897.025.784.939.088.497.827.207.196.816.326.085.775.685.395.014.624.333.87
2.071.480.421.900.971.220.304.342.821.821.059.716.584.291.578.094.624.401.752.790.51-0.36-0.586.795.394.592.575.643.312.231.035.504.453.441.545.814.904.181.702.801.551.780.796.004.203.521.544.443.131.911.123.002.231.681.091.681.220.990.512.422.001.220.54
1.070.890.321.020.320.950.202.791.861.010.448.105.713.651.266.744.174.071.521.65-0.01-0.58-0.736.195.124.462.493.772.571.620.643.673.252.851.204.343.653.351.480.500.120.650.313.272.672.571.153.102.101.280.961.861.601.280.870.680.370.340.221.701.470.860.35