Boston Beer Financial Ratios for Analysis 2009-2024 | SAM

Fifteen years of historical annual and quarterly financial ratios and margins for Boston Beer (SAM).

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
2.262.071.351.591.211.921.651.912.011.881.571.831.881.551.53
--------0.000.000.000.00---
--------0.000.000.000.00---
42.4441.2438.7746.9049.1451.4552.1350.7152.2651.5052.0854.3355.4755.2751.52
4.984.340.3914.0611.5911.6413.4015.1916.2716.2315.3016.4720.2117.5013.08
4.984.340.3914.0611.5911.6413.4015.1916.2716.2315.3016.4720.2117.5013.08
10.189.533.8917.8416.1016.8619.3420.6520.7420.1218.8119.9623.8721.2617.15
5.464.370.3414.0711.5511.6813.4615.1316.1516.1215.2316.4620.1817.4913.10
3.803.220.7111.058.809.3111.489.6410.2510.059.5210.2512.8810.817.50
1.401.471.481.261.191.561.521.471.491.491.661.611.881.791.58
9.998.278.457.045.996.888.168.518.128.546.285.976.707.807.87
29.2331.2918.9719.5719.5725.0220.8621.7817.8115.5217.1718.4322.0823.1723.24
12.4911.6619.2418.6618.6514.5917.5016.7620.5023.5221.2619.8016.5315.7515.70
7.076.291.4820.0614.9620.1323.3919.5621.3420.8123.3024.2635.7630.2817.97
8.427.651.9025.9221.2120.3923.5919.7221.5120.9823.5924.5236.0330.5418.12
5.334.731.0513.9210.4414.4817.3914.1815.2514.9915.8516.5424.2419.4011.83
7.076.291.4820.0614.9620.1323.3919.5621.3220.7823.2624.2135.7630.2817.97
89.0886.8380.2778.5561.0840.0336.4436.1136.1633.3723.7019.1314.4112.3612.15
21.6316.204.5320.6314.9713.9311.1612.0512.4810.477.407.105.304.774.57
16.549.03-7.279.277.159.218.468.456.99-0.78-0.052.193.873.813.38

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
1.952.142.262.191.971.942.071.691.551.451.351.511.621.661.591.721.461.801.211.260.951.981.921.681.611.751.651.641.691.971.911.921.511.802.012.052.382.451.881.531.401.591.571.391.421.771.831.801.841.961.881.551.721.701.551.471.581.551.531.381.191.06
---------0.02-------0.12-------------0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00-------------
---------0.02-------0.13--0.07----------0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00-------------
46.0143.7437.5645.6545.4437.9736.9843.2143.1340.2128.6630.7545.7345.8046.9248.8246.3644.7647.3949.6349.9449.4951.9351.2451.9850.4652.3653.2354.0647.2149.0852.7251.8348.4750.5653.5754.0149.9349.7753.0153.1549.2450.9453.3153.5749.8752.1456.0254.5054.5756.3856.4056.7951.2657.3556.0755.7850.9351.7753.6352.4946.93
12.233.60-6.5910.2212.99-3.40-3.766.4311.58-0.50-20.95-13.4913.2914.059.1420.6517.426.515.8715.8111.9111.7012.8115.2311.374.857.2020.8418.272.4915.6519.8517.075.9512.2420.7718.5611.1014.7122.4817.487.2814.1819.5217.677.1317.6420.0115.8910.4518.1119.5933.546.4516.3120.3820.5610.9612.0215.8018.143.44
12.233.60-6.5910.2212.99-3.40-3.766.4311.58-0.50-20.95-13.4913.2914.059.1420.6517.426.515.8715.8111.9111.7012.8115.2311.374.857.2020.8418.272.4915.6519.8517.075.9512.2420.7718.5611.1014.7122.4817.487.2814.1819.5217.677.1317.6420.0115.8910.4518.1119.5933.546.4516.3120.3820.5610.9612.0215.8018.143.44
--------------------------------------------------------------
12.664.41-5.6310.6513.28-3.02-3.446.4111.50-0.53-21.05-13.6113.2914.059.2320.6917.366.425.8115.5711.9711.8512.8615.3211.404.817.1221.0118.352.5015.6419.7916.995.8512.0720.5918.5910.9314.3922.3617.577.2114.0919.5117.557.0317.5820.0415.8810.4517.9519.6333.556.4616.3020.3220.5610.9612.0315.8418.183.44
9.042.96-4.607.539.62-2.18-2.554.578.66-0.45-14.88-10.409.8212.037.1216.3913.305.524.5711.828.759.429.6812.398.624.8914.8013.6311.753.5310.1012.4410.873.727.4913.1811.876.898.7614.0610.984.528.8011.8710.875.0811.0312.479.736.6212.5212.0920.923.8710.5112.4112.566.666.969.5410.091.68
0.400.310.280.400.400.290.320.390.420.310.250.380.390.370.330.380.370.280.290.370.390.360.350.490.440.330.360.420.410.280.360.400.410.310.330.420.360.300.360.470.430.380.460.500.480.390.430.500.480.410.520.490.470.390.450.470.490.370.410.430.500.37
2.051.632.122.202.111.691.901.762.131.581.671.981.321.841.872.042.231.471.492.061.981.481.542.072.061.681.942.102.021.572.132.091.931.581.882.372.031.792.132.131.691.531.791.701.641.321.651.921.811.351.821.911.821.471.862.092.261.612.022.092.371.57
4.575.825.736.845.084.486.706.174.892.793.214.534.774.995.195.094.404.934.725.074.034.555.664.434.643.294.995.544.583.835.274.954.073.763.994.944.503.743.745.434.014.004.774.124.174.494.864.884.244.576.114.385.054.725.784.744.833.846.004.474.734.78
19.6815.4615.7113.1617.7220.0913.4314.5818.4232.2628.0419.8818.8618.0217.3317.6920.4518.2619.0817.7622.3419.8015.9020.3119.4127.3918.0416.2319.6423.5017.0818.1922.1223.9322.5518.2120.0224.0624.0416.5722.4522.5018.8621.8621.5820.0418.5218.4521.2419.7114.7220.5517.8119.0515.5719.0018.6223.4214.9920.1419.0418.83
5.031.20-1.684.045.34-0.86-1.072.545.11-0.20-5.27-5.685.466.373.438.797.272.401.876.225.334.844.748.755.322.137.218.136.911.314.967.006.461.623.497.815.822.784.379.206.842.425.989.137.782.816.889.016.823.839.639.4715.402.307.359.219.433.724.316.287.780.96
6.031.44-2.004.786.46-1.05-1.303.086.44-0.25-6.75-7.186.828.074.4311.519.853.372.658.915.374.874.808.825.362.157.278.206.971.325.007.066.521.633.527.865.862.804.419.286.912.446.069.257.852.846.969.116.903.889.709.5515.512.327.419.299.503.754.346.337.850.97
3.650.91-1.272.993.89-0.64-0.801.783.60-0.14-3.73-3.993.794.482.386.154.981.531.314.403.423.373.416.093.811.615.365.744.840.973.605.024.511.162.505.594.322.103.156.634.761.734.075.945.232.004.696.184.702.706.535.939.821.514.715.796.112.462.844.125.000.63
5.031.20-1.684.045.34-0.86-1.072.545.11-0.20-5.27-5.685.466.373.438.797.272.121.876.225.334.844.748.755.322.137.218.136.911.314.967.006.451.613.497.805.812.774.379.196.832.415.979.117.752.816.878.986.803.839.639.4715.402.307.359.219.433.724.316.287.780.96
88.4687.3989.0891.9988.9184.9386.8387.3584.9380.1980.2784.0788.5484.1178.5575.4368.1562.7661.0859.7545.1742.4040.0337.8137.9937.2936.4435.2635.0635.2836.1136.0633.3134.3836.1638.1238.8437.2433.3731.7728.6726.5423.7022.0919.9119.1619.1317.9816.4415.1614.4113.3813.7912.8312.3612.3412.4111.9512.1511.6010.8010.00
7.66-0.4121.6319.008.24-1.4516.2018.229.85-3.334.534.152.491.5920.6316.948.491.5514.9711.744.751.1713.939.234.56-0.8811.168.994.95-0.4012.058.574.000.7112.4810.555.731.5610.477.602.84-0.667.404.951.34-0.957.104.821.730.135.304.243.04-0.174.773.771.89-0.214.573.392.210.01
4.63-1.7116.5415.155.42-2.849.0312.575.77-5.26-7.27-5.60-4.18-1.549.278.813.59-0.697.156.260.95-0.739.215.922.40-1.858.467.053.59-0.968.455.641.98-0.296.996.432.890.19-0.78-1.91-3.72-3.94-0.05-0.46-2.05-2.522.191.14-0.63-0.873.873.342.61-0.333.813.071.60-0.353.382.561.50-0.35