B Riley Financial Financial Ratios for Analysis 2009-2024 | RILY

Fifteen years of historical annual and quarterly financial ratios and margins for B Riley Financial (RILY).

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
4.883.954.674.163.523.033.611.983.321.951.951.871.801.811.90
0.930.900.850.760.800.850.790.16--1.091.091.191.211.02
14.519.455.853.274.145.693.800.180.000.26-15.27-15.37-8.17-7.41-67.39
72.4979.5494.7791.2689.8291.5987.2770.7871.4551.3153.1756.3263.5747.5863.85
8.806.4333.1033.1225.5610.738.9525.6019.62-9.645.388.8711.71-26.9521.00
17.6512.5836.4838.2030.4816.1812.6925.6019.62-9.645.388.8711.71-26.9521.00
20.9216.2838.1440.5333.4119.4416.1527.8620.38-8.807.839.8614.21-25.0721.76
-8.66-20.4039.5433.5017.885.046.3524.7218.90-11.261.687.484.19-38.316.51
-6.57-15.5328.1524.0312.473.673.5911.3110.49-7.521.394.190.95-26.1920.32
0.270.180.270.310.280.220.230.720.850.551.031.040.830.581.06
-----------16.54---
9.855.4619.6017.429.265.306.2610.0211.887.644.495.068.4913.6831.84
37.0566.8218.6220.9639.4368.9158.3436.4130.7247.8081.3072.1542.9926.6711.46
-29.38-30.9563.9337.8521.006.344.4921.7612.42-5.97-13.88-103.95-7.29124-1,732.32
24.3041.12183168-151.84-29.2510.8454.2519.39-8.69-5.77-43.39-4.2774.58-241.84
-1.74-2.567.707.663.540.840.8612.3710.25-4.170.785.390.79-15.2721.73
-1.92-3.059.509.024.160.950.9418.3812.42-5.971.299.371.37-25.4939.26
12.0117.7425.5620.9114.479.7210.017.866.656.08-2.77-2.78-5.33--
0.840.241.752.18-0.99-3.82-3.374.361.95-2.40-1.6710.95-1.39-4.3319.02
1.170.101.732.10-1.10-4.02-3.374.331.93-2.42-2.0210.53-1.57-4.7618.14

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
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
4.884.884.624.064.333.955.285.665.464.673.473.733.084.164.435.314.693.524.513.983.403.034.342.624.353.612.992.972.241.981.323.114.383.323.052.722.541.952.772.572.361.951.952.271.991.871.932.031.831.801.581.681.851.811.881.702.731.901.57--
0.930.930.920.920.920.900.890.890.840.850.800.770.770.760.800.840.860.800.840.840.840.850.850.840.800.790.750.810.150.16----------1.121.091.121.111.081.091.141.121.151.191.171.281.211.211.181.211.071.020.96--
14.1114.5110.9811.3812.379.457.898.345.275.854.073.433.313.273.975.076.084.145.075.145.235.695.555.693.933.803.084.240.170.180.42--0.000.000.000.100.260.080.10-10.76-15.27-11.07-12.02-17.14-15.37-10.09-11.99-9.61-8.17-10.27-5.91-7.15-7.41-8.25-7.32-18.67-67.3939.84--
70.6368.5268.4476.3176.3963.4184.7585.8394.3792.1692.0295.3397.2397.0085.3896.6810,15987.3895.0986.9689.2898.3591.7788.8787.7910588.9072.0866.6169.8173.2672.5666.4856.8875.4976.4270.5450.9466.7161.1530.1661.8036.1753.0963.3960.6250.7153.5456.4756.5769.8760.4258.5654.1675.34-31.8344.00100.0042.50100.00100.00
-1.00-12.804.4620.4319.652.6224.13-44.2918.62-27.6625.3632.7162.1553.4336.9149.2958,80822.7433.2426.8717.57-6.4012.8822.6911.0712.901.473.8420.2533.7627.070.898.35-6.7115.4132.2720.98-19.47-6.06-7.07-5.8115.983.60-12.7011.1915.95-4.633.8912.472.7031.71-22.472.21-7.9517.59-186.67-26.38100.00-5.61100.00100.00
9.32-1.4712.7629.2327.168.5729.72-33.8723.39-22.4328.0035.9765.3456.8841.7653.5054,69528.5238.9430.2122.360.1819.3226.4616.4717.936.826.1920.2533.7627.070.898.35-6.7115.4132.2720.98-19.47-6.06-7.07-5.8115.983.60-12.7011.1915.95-4.633.8912.472.7031.71-22.472.21-7.9517.59-186.67-26.38100.00-5.61100.00100.00
-------------------------------------------------------------
-18.96-41.03-19.7716.075.67-22.8922.11-135.44-5.2238.6419.4928.2159.0068.4529.8843.0666,40215.3526.9619.197.80-12.234.7818.476.099.81-1.341.2219.0033.4325.38-0.457.70-7.1815.1331.3520.02-20.12-6.30-10.04-8.7011.250.47-16.948.1813.41-8.027.749.16-3.9621.18-31.531.23-18.639.60-208.44-37.71100.00-23.34100.00100.00
-14.92-26.72-16.4010.923.50-15.5614.69-101.82-4.8926.3212.7421.9442.1449.7820.9031.0648,40810.2119.0513.455.64-8.632.8213.544.70-5.550.404.9226.5113.3515.69-0.501.24-5.086.8819.0610.30-14.22-4.20-5.20-6.165.141.68-10.056.157.75-3.843.155.52-5.7514.14-22.88-3.81-17.323.28-126.69-24.70-39.6426.82-5.8621.39
0.070.060.080.070.070.060.050.020.050.040.080.080.150.130.100.120.000.070.090.080.070.050.050.070.070.080.080.050.210.350.220.120.160.150.150.310.190.140.180.120.340.250.330.230.270.380.200.260.250.150.310.140.190.150.200.070.170.150.14--
-------------------------------------------3.632.925.472.623.92-------------
2.082.063.022.883.091.932.641.352.902.980.580.701.257.133.473.680.002.352.391.922.141.281.061.841.312.142.232.602.944.913.772.532.512.092.111.941.761.961.060.681.191.072.251.692.321.852.323.382.361.522.302.016.873.576.102.735.094.375.90--
43.2043.7829.7831.2829.1646.6034.0866.7431.0230.2215412971.8812.6125.9524.42-25,046.6538.3737.5946.8342.0470.4484.7349.0268.8642.0640.4134.5830.6618.3423.8835.5235.8543.1442.6046.3751.2245.8085.0513375.4283.9140.0353.2438.8748.5938.8226.6138.0659.2239.1144.6813.0925.1914.7432.9617.6820.5815.26--
-16.00-24.94-16.319.483.76-12.549.11-25.14-1.319.566.919.8633.5131.8812.2224.55-37.734.4911.408.053.02-3.471.016.741.78-2.050.041.408.5815.305.83-0.021.23-0.962.327.573.27-2.99-1.03-1.0120.40-24.09-4.4431.23-25.72-57.0512.22-26.73-15.307.92-54.2119.585.7321.39-5.7171.6882.62453238--
9.9120.6221.00-10.44-3.6816.66-35.61113-7.3127.3116.5323.0878.57142-226.55-90.8757.31-32.45-5,285.98-86.58-16.6915.992.7815.834.10-4.950.112.6318.8238.1416.73-0.031.90-1.493.5611.635.25-4.35-1.56-1.539.66-10.02-2.1214.58-9.88-23.816.34-12.96-8.344.64-30.4012.993.5012.88-3.2743.4430.9163.18-93.61--
-0.96-1.48-1.240.700.25-1.040.90-2.32-0.181.151.021.836.246.452.133.60-4.660.761.621.130.42-0.460.140.950.34-0.390.010.255.458.703.20-0.021.09-0.791.845.822.53-2.09-0.79-0.75-1.701.360.36-2.351.212.96-1.051.951.35-0.864.39-3.30-0.74-2.640.65-8.26-4.09-5.683.75--
-1.07-1.63-1.380.780.29-1.241.05-2.75-0.211.421.392.237.797.602.464.04-5.330.891.881.310.49-0.520.151.110.36-0.430.010.277.3312.925.83-0.021.23-0.962.327.573.27-2.99-1.03-1.01-2.462.240.54-3.522.005.14-1.733.132.36-1.499.00-5.53-1.22-4.401.03-14.77-5.92-10.268.85--
9.9612.0115.2916.2215.6517.7420.4119.2125.0725.5627.1227.6228.1620.9115.7313.0010.1214.4711.1210.309.959.7210.1510.1410.1810.0110.389.858.397.867.547.066.696.656.936.946.456.085.595.65-3.50-2.77-3.55-3.41--2.78----5.32-----------
4.510.84-1.372.691.780.24-2.43-1.78-0.531.75-5.79-5.16-1.492.183.250.530.04-0.991.640.050.33-3.82-2.94-7.91-1.98-3.37-1.76-3.74-1.984.361.460.58-0.061.952.692.261.07-2.40-0.361.183.69-1.67-1.360.055.1610.9510.869.425.08-1.42-3.86-2.21-0.11-4.31-4.74-10.05-4.3612.8221.300.000.00
4.481.17-0.982.581.770.10-2.48-1.81-0.541.73-5.81-5.17-1.502.103.190.500.02-1.101.55-0.020.27-4.02-3.02-7.98-2.01-3.37-1.76-3.73-1.994.331.440.57-0.061.932.682.251.07-2.42-0.371.173.67-2.02-2.01-0.454.9910.5410.609.225.04-1.60-4.01-2.37-0.13-4.72-5.10-10.31-4.4412.2220.74--