Rush Enterprises Financial Ratios for Analysis 2009-2024 | RUSHA

Fifteen years of historical annual and quarterly financial ratios and margins for Rush Enterprises (RUSHA).

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
1.351.311.321.321.141.131.171.121.061.121.241.281.241.351.52
0.210.170.220.270.300.310.340.390.400.380.390.370.360.330.30
0.890.760.740.911.481.591.421.551.881.941.691.621.681.141.02
20.1020.9421.3118.4917.6517.7717.6117.0415.7615.9916.9016.2016.4019.0217.96
6.477.136.033.263.723.683.151.922.443.002.713.703.772.780.63
6.477.136.033.263.723.683.151.922.443.002.713.703.772.780.63
9.269.939.347.016.757.056.515.665.355.675.476.075.985.854.02
5.837.176.123.203.263.332.891.582.162.762.393.273.492.420.16
4.385.514.712.432.442.533.650.961.331.691.452.022.142.090.49
1.821.861.641.591.711.721.631.621.751.771.561.641.501.281.23
3.513.933.954.503.613.383.764.163.953.883.513.753.323.773.90
30.5632.1936.5727.4631.6328.8825.6426.9831.7227.8032.7734.4926.2934.4230.88
11.9411.349.9813.2911.5412.6414.2413.5311.5113.1311.1410.5813.8810.6011.82
18.4122.2416.469.0612.2113.0316.544.707.8210.467.4010.2710.395.281.20
23.6829.1222.0211.7716.3217.9322.987.0911.8016.0210.9415.2415.847.811.76
7.9810.267.743.854.164.345.961.562.322.992.273.323.212.100.52
14.4918.3912.766.588.498.9410.942.894.686.454.536.466.643.570.84
24.2921.5917.6215.3814.2412.8211.619.779.3016.917.546.976.185.515.10
3.533.434.869.044.982.381.665.702.460.971.902.46-0.930.771.78
-0.850.682.987.501.54-0.18-0.583.69-1.48-1.87-0.190.56-2.50-0.201.19

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
1.401.401.431.351.251.291.301.311.271.341.351.321.521.411.361.321.251.201.151.141.141.111.101.131.161.151.161.171.161.131.141.121.101.081.081.061.061.091.101.121.111.141.151.241.271.301.341.281.291.251.241.241.261.261.241.351.371.331.441.521.451.491.47
0.190.200.240.210.140.160.170.170.190.230.220.220.220.240.260.270.280.290.300.300.310.310.310.310.310.320.330.340.360.360.370.390.400.400.400.400.380.390.380.380.380.380.400.390.380.370.370.370.370.360.360.360.340.330.320.330.330.320.290.300.270.280.29
0.860.870.980.890.820.800.770.760.810.840.750.740.600.770.900.911.051.191.371.481.541.731.711.591.531.451.441.421.481.511.541.551.671.831.821.881.901.881.971.941.781.791.801.691.651.621.511.621.691.801.831.681.481.341.201.141.181.181.051.020.981.031.11
19.9919.3620.8319.0219.9120.6620.8620.5120.4620.8922.1022.4422.2920.5819.8718.6218.0319.1818.2317.7916.5617.4519.0516.8018.1018.0418.2917.6217.5017.3717.9916.9316.5417.5817.1115.1216.0715.6116.2214.7216.0116.3517.3116.2416.4617.4417.6816.0716.8015.5116.5015.6716.3415.9418.4717.1619.2720.9719.4017.5518.7516.7118.75
6.376.145.915.926.147.136.687.256.817.546.886.857.125.534.564.223.642.292.742.993.654.004.224.444.263.222.613.153.853.112.382.292.522.100.761.672.782.672.543.203.312.952.372.973.051.493.253.453.713.823.784.434.073.292.872.853.383.141.461.300.39-0.931.74
6.376.145.915.926.147.136.687.256.817.546.886.857.125.534.564.223.642.292.742.993.654.004.224.444.263.222.613.153.853.112.382.292.522.100.761.672.782.672.543.203.312.952.372.973.051.493.253.453.713.823.784.434.073.292.872.853.383.141.461.300.39-0.931.74
---------------------------------------------------------------
5.445.184.965.175.436.526.236.816.477.837.706.907.255.684.604.233.732.252.462.533.263.523.684.023.942.892.262.853.612.872.112.002.221.740.371.382.512.402.292.993.092.742.052.652.751.182.923.053.253.423.354.113.803.052.602.573.052.721.030.85-0.10-1.401.25
4.173.883.833.854.054.914.735.224.856.155.915.235.484.413.683.232.881.681.801.802.452.692.753.053.032.181.708.762.371.831.391.221.361.050.220.841.541.471.411.831.891.681.251.611.660.711.791.942.002.082.052.502.301.891.631.993.491.720.750.561.02-0.500.87
0.410.450.400.470.470.490.480.490.500.490.470.420.460.450.410.420.390.330.400.390.470.440.390.480.430.450.430.420.460.450.400.390.410.360.380.410.450.480.440.500.510.500.420.430.450.400.410.390.400.440.420.450.470.490.370.400.350.300.300.280.310.310.33
0.770.860.730.910.950.971.011.051.101.111.101.001.311.281.121.201.030.810.880.820.960.840.740.960.890.980.970.961.081.080.981.011.000.810.860.930.971.040.891.121.121.140.920.970.990.870.920.890.870.850.801.011.111.230.941.190.980.840.820.900.870.850.82
6.717.076.177.837.528.468.328.538.447.728.379.368.488.206.587.357.576.166.007.177.266.836.918.087.776.706.676.578.198.446.326.547.438.057.127.406.337.635.737.917.697.127.068.967.988.829.888.178.098.728.617.919.509.368.3310.645.986.046.187.077.106.166.26
13.4112.7414.5911.5011.9710.6410.8110.5510.6611.6610.759.6210.6110.9713.6812.2411.8914.6015.0112.5512.4013.1813.0211.1411.5913.4213.4913.7010.9910.6614.2313.7712.1111.1812.6412.1614.2211.8015.7011.3811.7012.6512.7510.0511.2810.219.1111.0111.1310.3210.4511.389.479.6210.818.4615.0614.9014.5712.7312.6814.6014.37
3.783.893.664.134.205.224.965.585.416.795.984.684.914.273.463.242.771.421.982.053.443.743.424.403.832.772.0410.183.192.461.641.451.741.280.281.162.392.422.143.223.182.791.762.232.320.882.142.342.523.032.863.653.162.551.521.981.771.240.450.220.70-0.400.68
4.754.914.665.315.376.706.437.307.199.147.876.266.195.434.464.203.631.882.652.744.635.074.696.065.223.822.8414.134.633.642.452.182.641.950.421.753.633.753.294.934.944.422.873.303.431.273.123.473.634.424.265.564.843.982.402.922.631.850.660.321.05-0.601.03
1.711.751.541.791.912.392.292.572.423.022.782.202.501.991.511.371.130.550.710.701.151.181.081.471.310.970.733.661.080.820.550.480.550.380.090.340.690.710.610.920.960.840.530.690.740.290.730.760.800.920.871.131.080.930.600.790.700.490.190.100.31-0.170.29
3.063.132.773.253.624.414.144.614.395.244.703.633.833.252.562.352.001.001.391.422.362.562.363.022.631.891.366.732.061.571.030.891.050.770.170.701.471.491.321.991.981.711.061.371.440.551.361.471.601.951.842.332.081.711.041.341.190.840.320.150.51-0.290.48
26.6225.7524.8924.2923.9823.3522.4021.5920.5119.7218.5017.6216.9716.2915.7115.3814.9514.5914.4114.2414.0113.5913.1412.8212.4612.0611.7011.6110.4310.099.879.779.629.459.289.309.168.918.6616.918.227.947.697.547.387.207.136.976.796.606.396.185.955.765.615.515.635.465.385.105.085.045.05
2.781.43-1.903.532.511.351.093.432.150.680.404.865.062.730.469.046.975.041.654.982.64-0.38-0.462.382.232.081.271.661.841.420.415.704.272.431.102.461.070.67-1.050.970.960.51-0.081.900.850.400.632.461.00-0.76-1.46-0.93-0.58-0.41-0.200.77-0.040.06-0.141.781.540.940.50
-0.83-0.67-2.84-0.85-0.91-0.840.030.680.18-0.54-0.102.983.681.770.087.505.774.111.071.54-0.08-2.16-1.16-0.180.360.850.78-0.580.380.590.003.692.611.180.52-1.48-1.60-1.08-1.92-1.87-1.01-0.75-0.66-0.19-0.49-0.500.300.56-0.45-1.63-1.89-2.50-1.60-0.98-0.50-0.20-0.56-0.27-0.251.191.160.660.37