Gibraltar Industries Financial Ratios for Analysis 2009-2024 | ROCK

Fifteen years of historical annual and quarterly financial ratios and margins for Gibraltar Industries (ROCK).

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
2.051.971.561.411.911.392.712.571.902.692.692.272.092.422.31
-0.100.030.10-0.000.280.310.340.350.310.300.310.320.33
-0.110.030.12-0.350.400.450.510.540.450.440.450.470.49
26.2722.9321.6524.8324.4825.2023.9724.2817.9616.2419.1018.9318.9316.2918.73
10.949.367.2410.389.009.699.417.294.68-8.172.605.104.72-11.40-5.80
10.949.367.2410.389.009.699.417.294.68-8.172.605.104.72-11.40-5.80
12.9311.249.6312.4110.9511.7811.619.687.62-5.225.868.438.13-7.64-2.17
10.818.027.4310.448.698.027.894.963.56-9.83-0.102.812.20-14.48-9.10
8.025.935.646.257.257.626.343.342.25-9.49-0.681.602.16-14.29-8.14
1.101.151.100.850.910.791.001.101.171.060.930.890.880.790.66
8.436.295.967.9010.956.338.698.527.985.615.535.505.696.856.02
6.146.405.675.226.715.976.798.126.318.529.198.838.469.068.90
59.4957.0264.4269.9954.4161.1753.7744.9357.8542.8239.7341.3443.1340.2941.00
12.0810.029.0311.208.899.0711.847.325.72-21.12-1.192.652.00-17.09-7.49
40.1047.8543.1211420.6730.6360.0473.21-441.52-118.59-14.5169.5156.38-98.88-74.19
8.806.816.136.876.095.106.353.672.64-10.09-0.631.431.06-9.29-4.06
12.089.058.7810.048.899.048.495.033.79-13.71-0.821.851.38-11.64-5.04
30.0626.6425.2422.8620.8718.5916.7614.6112.9012.3615.1515.5915.1214.5517.52
7.103.190.702.713.973.002.173.872.771.051.951.621.522.294.35
6.652.570.172.313.712.692.233.563.210.491.871.281.192.024.04

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
2.072.012.051.621.581.791.971.911.741.691.561.611.391.361.411.791.731.641.911.811.921.891.392.782.893.042.712.362.422.422.572.442.362.091.901.891.822.802.692.512.412.612.692.562.402.362.272.412.292.222.091.942.062.802.422.232.112.092.312.142.552.76
----0.010.060.100.130.100.050.030.070.040.070.10------0.000.000.260.270.280.280.290.300.310.310.310.320.330.340.350.380.350.350.310.310.310.310.310.310.310.300.300.310.310.310.310.330.310.320.290.290.290.330.320.360.38
----0.010.060.110.140.110.050.030.070.040.080.12------0.000.350.360.370.390.400.420.440.450.450.450.470.500.510.540.610.550.540.440.450.460.450.460.450.460.440.430.440.450.450.440.490.460.470.400.410.410.490.480.560.61
27.1628.8525.2226.9726.5126.2321.9924.1724.6020.4019.6822.5423.2320.8723.5426.4525.6923.1532.9225.5924.2019.3028.8625.0926.5022.4421.9825.0324.9723.8423.2424.8925.9122.7818.2720.1317.4314.9114.1017.7617.0815.6318.7719.2119.9118.3818.6119.5718.9918.4615.3219.5221.7618.3711.0616.2019.2118.0420.1923.4719.8911.18
12.0310.857.6313.6111.8010.016.8112.1110.946.674.4210.289.024.468.5713.8012.055.9311.2210.5010.134.657.4310.5012.136.438.7413.0010.074.680.279.7210.757.471.837.674.424.47-51.427.866.270.173.26-2.837.252.640.697.667.413.65-3.918.348.334.42-61.412.505.331.49-39.089.597.30-20.16
12.0310.857.6313.6111.8010.016.8112.1110.946.674.4210.289.024.468.5713.8012.055.9311.2210.5010.134.657.4310.5012.136.438.7413.0010.074.680.279.7210.757.471.837.674.424.47-51.427.866.270.173.26-2.837.252.640.697.667.413.65-3.918.348.334.42-61.412.505.331.49-39.089.597.30-20.16
--------------------------------------------------------------
12.3611.467.4913.7711.599.641.8311.7510.686.474.2610.1310.284.198.4313.7412.705.6711.4310.4710.053.481.139.2710.955.187.3711.588.492.93-1.548.346.295.930.246.982.484.40-53.146.584.48-1.751.26-4.565.61-3.00-1.925.415.451.24-6.786.125.951.71-64.50-0.102.91-2.94-43.295.924.67-23.32
9.128.535.9110.058.427.191.078.767.994.862.807.467.454.44-3.2211.3810.705.6013.188.187.582.7917.346.968.583.889.757.515.161.93-3.345.057.003.800.084.471.612.75-47.384.082.74-1.092.12-6.313.44-1.85-2.273.553.600.71-3.793.143.745.14-51.710.711.97-14.48-32.152.580.04-16.60
0.260.220.260.300.290.240.260.300.280.260.280.300.290.250.220.270.250.220.110.300.290.260.070.270.260.220.260.280.260.220.250.290.290.270.320.330.270.240.250.250.250.210.210.240.250.220.200.230.250.220.200.250.230.200.180.190.200.160.090.180.180.16
1.911.512.042.021.681.261.441.451.401.351.521.832.002.132.062.802.401.871.182.682.331.860.542.152.041.852.332.422.161.811.992.212.001.722.151.931.551.281.351.531.541.271.271.501.511.281.211.511.541.311.351.601.411.451.651.671.511.270.851.331.291.05
1.361.271.461.521.371.271.451.421.331.291.411.421.551.441.341.461.321.250.811.521.451.360.541.551.551.481.781.651.781.611.871.751.771.591.711.721.401.742.001.951.811.792.101.901.841.761.931.861.911.821.921.861.671.722.051.761.721.621.271.581.541.41
66.1271.0761.4659.0665.7270.6262.2763.4167.5969.6063.6363.5158.2162.4667.1961.7168.2872.0511159.0561.9266.1716758.1258.0760.6850.6954.6550.4755.9748.1751.2950.8656.6052.6352.2764.1251.7245.0646.2349.7150.2442.9347.4248.8451.0146.6448.4447.1649.5446.8248.3853.7752.4443.9551.0252.4055.4170.6757.1158.4464.02
3.302.652.124.413.612.530.414.073.591.841.193.423.351.382.374.203.451.461.363.723.161.050.573.354.071.544.734.082.730.86-1.672.944.142.140.053.341.031.42-24.721.971.35-0.440.85-2.931.62-0.77-0.781.461.680.31-1.491.591.570.32-17.320.150.51-0.47-5.351.370.38-3.89
9.408.207.0516.3314.8811.221.9418.3216.357.905.6718.4022.1612.6324.0512.3011.095.273.1710.509.373.381.9412.1916.497.1924.0126.9925.9711.98-16.7424.4454.19160-4.14-88.34-12.377.54-138.7716.5913.58-5.4510.33-41.5931.44-23.93-20.5317.2526.337.07-41.9336.8656.141.63-100.171.826.83-6.91-52.9916.725.08-56.98
2.341.891.553.052.481.750.282.592.261.240.812.262.220.911.452.842.361.010.932.492.200.730.321.852.260.862.542.071.390.44-0.841.442.041.020.021.480.430.67-11.811.030.69-0.230.45-1.530.85-0.41-0.420.790.900.17-0.790.830.800.17-9.410.090.29-0.27-2.900.740.20-1.98
3.302.652.124.413.572.380.373.553.221.751.153.193.221.292.124.203.451.461.363.723.161.040.572.462.961.113.402.881.910.59-1.152.032.831.430.042.170.640.92-16.041.370.93-0.310.59-2.011.12-0.53-0.551.021.170.22-1.031.101.050.22-11.790.110.36-0.33-3.600.930.25-2.43
32.0130.8630.0629.2427.9527.1626.6426.7725.8525.5725.2424.9324.1323.2422.8622.9621.8920.9020.8720.3719.5418.8318.5918.1817.5317.0616.7615.9515.2514.7714.6114.9014.3113.4412.9013.1712.8012.5812.3615.7315.4715.2415.1515.2415.5915.3515.5915.7215.3915.1915.1215.3115.2114.9214.5516.9916.7816.6517.5218.3518.0817.89
2.911.737.106.733.721.233.191.210.02-0.230.70-0.500.33-0.102.711.70-0.22-1.313.972.210.20-1.153.001.17-0.12-0.682.171.520.670.073.873.181.540.492.771.410.37-0.471.050.58-0.12-0.471.951.220.17-0.411.620.87-0.07-0.421.520.90-0.20-0.412.291.791.010.624.353.682.150.98
2.631.596.656.473.551.162.570.72-0.33-0.370.17-0.900.04-0.232.311.51-0.35-1.373.711.980.01-1.242.691.06-0.14-0.632.231.760.970.313.562.951.420.443.212.031.060.300.490.16-0.30-0.601.871.340.02-0.471.280.66-0.20-0.511.190.68-0.34-0.452.021.590.870.574.043.441.960.88