Scholastic Financial Ratios for Analysis 2009-2024 | SCHL

Fifteen years of historical annual and quarterly financial ratios and margins for Scholastic (SCHL).

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
2024202320222021202020192018201720162015201420132012201120102009
1.271.481.611.482.061.772.152.512.512.031.541.711.851.792.252.01
---0.010.15-----0.120.060.200.230.240.28
0.010.010.010.160.190.010.010.000.010.010.150.070.260.350.370.46
55.6553.8553.4151.6552.3052.8454.2753.2354.4353.6353.5753.8453.9753.7255.2052.32
0.916.245.93-1.75-5.951.513.415.124.292.010.671.368.665.526.983.28
0.916.245.93-1.75-5.951.513.415.124.292.010.671.368.665.526.983.28
6.8011.4811.495.200.176.497.608.838.487.247.087.7414.6711.4512.819.01
1.026.605.46-1.40-6.031.57-0.095.054.111.83-0.150.437.934.486.091.34
0.765.064.92-0.85-2.950.94-0.313.002.4218.012.842.014.792.102.96-0.77
0.950.910.850.650.730.880.890.990.980.901.021.081.281.261.181.15
2.672.352.722.332.622.412.522.882.812.942.832.573.332.822.692.56
6.355.945.043.774.516.357.958.748.528.447.367.216.818.528.919.37
57.4561.4572.4796.8280.9557.4745.9341.7542.8343.2449.5850.6153.5642.8340.9538.96
1.197.436.65-0.92-3.701.23-0.384.013.501.291.450.5713.026.127.350.89
1.458.877.81-1.10-4.441.45-0.444.584.001.501.820.9020.3910.1011.141.52
0.724.634.17-0.54-2.150.83-0.272.982.570.850.870.346.473.053.810.44
1.197.436.65-0.92-3.141.23-0.384.013.501.291.280.5310.404.745.610.64
36.1036.7435.6334.3734.5236.2637.7437.3736.5636.2928.3427.2226.4023.8922.9121.57
5.094.296.352.070.063.254.043.99-2.265.004.825.848.216.807.495.04
3.162.505.170.69-1.750.600.572.14-3.284.09-3.804.176.515.315.993.84

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
2024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
1.141.271.201.321.311.481.461.491.481.611.501.531.451.481.451.831.872.061.491.571.501.771.581.591.592.152.012.002.122.512.082.032.102.512.262.222.182.031.411.481.521.541.511.611.501.711.861.801.671.851.691.781.591.791.591.631.902.251.981.921.752.011.92
0.19------------0.01-0.130.150.150.010.00------------------0.070.090.170.120.170.060.070.060.200.190.210.200.210.210.230.230.240.250.240.240.250.250.270.280.29
0.240.010.030.010.010.010.000.000.010.010.010.010.080.160.160.160.190.190.010.010.010.010.010.010.010.010.010.010.010.000.000.010.010.010.010.010.000.010.090.110.220.150.210.080.110.070.250.240.260.260.280.270.360.350.390.400.380.370.390.410.450.460.49
45.9159.5154.0658.3943.1158.2850.4255.7145.0456.3450.7754.6048.6953.1451.0353.3046.5656.0250.9855.7441.0654.2650.8756.6142.6357.8851.7357.6138.9057.3352.3256.4639.9758.6051.3757.2840.1287.2749.7557.76-38.6954.3848.9457.5150.0957.4049.8257.2948.6052.3252.9858.3149.5655.7649.5756.4049.2857.3851.0558.5549.8451.6349.34
-37.319.94-10.7818.01-43.3717.41-8.5317.03-22.1012.73-5.6615.91-12.322.42-8.7212.01-26.49-16.27-16.0717.60-37.586.80-5.9416.24-38.3714.89-6.8817.92-53.8112.87-7.3517.99-22.1112.16-4.4817.46-41.586.87-7.1318.15-45.56-1.42-9.1815.20-16.61-2.46-7.2416.63-16.0213.52-2.5520.43-10.449.51-7.8119.33-15.9412.01-0.1316.00-11.197.50-5.26
-37.319.94-10.7818.01-43.3717.41-8.5317.03-22.1012.73-5.6615.91-12.322.42-8.7212.01-26.49-16.27-16.0717.60-37.586.80-5.9416.24-38.3714.89-6.8817.92-53.8112.87-7.3517.99-22.1112.16-4.4817.46-41.586.87-7.1318.15-45.56-1.42-9.1815.20-16.61-2.46-7.2416.63-16.0213.52-2.5520.43-10.449.51-7.8119.33-15.9412.01-0.1316.00-11.197.50-5.26
---------------------------------------------------------------
-38.709.96-10.6918.04-42.8918.10-8.0617.16-22.0210.44-5.7517.00-12.821.99-7.9311.72-24.07-16.69-16.1017.57-37.456.76-5.7816.27-38.1914.45-18.3615.33-53.7012.85-7.1117.81-22.4311.31-4.5417.75-41.636.66-7.3318.08-46.04-2.15-10.9514.86-17.30-3.59-8.3216.02-17.2812.93-3.3819.86-11.678.11-8.8218.67-17.2511.24-1.5015.35-12.146.69-9.73
-26.357.56-8.1913.67-32.4714.33-5.9112.81-17.3110.13-4.4413.03-9.311.89-5.018.64-18.49-4.58-11.6011.89-25.153.80-3.5011.84-28.0710.24-14.279.54-33.677.89-4.5810.90-14.016.62-2.4610.78-25.8457.88-6.3811.21-17.909.74-3.249.35-10.828.13-5.3110.07-10.948.52-2.2112.08-8.524.64-6.5311.21-12.125.62-1.408.41-7.295.58-8.50
0.120.280.190.310.130.280.170.290.140.270.180.260.130.200.140.190.100.140.190.290.120.250.180.290.120.270.190.310.110.280.180.330.160.300.210.330.110.270.220.370.110.190.240.390.180.180.230.350.170.400.280.430.200.360.250.420.180.320.240.390.190.310.26
0.410.730.530.770.370.660.440.680.380.800.570.850.450.700.450.620.360.460.590.740.340.670.500.720.310.710.470.710.300.750.460.780.450.780.530.770.310.240.530.780.700.510.570.770.370.400.540.740.381.080.550.760.380.770.520.790.340.700.520.730.360.700.52
0.961.901.141.740.971.841.121.620.931.581.111.370.931.160.821.020.670.861.201.790.881.811.131.600.982.421.852.281.302.511.952.211.272.621.952.391.292.521.982.501.221.361.812.181.311.231.932.251.392.131.722.381.462.431.992.321.372.452.152.321.382.512.17
93.7947.4278.6651.7392.6848.8880.3955.6296.9857.0781.1465.7796.8977.3311087.8713510575.0850.2610349.7979.3056.1692.1837.1648.5639.4769.1635.8846.1540.6770.8734.3946.2537.7269.6735.7645.3535.9973.8466.1749.6441.3668.9373.1846.6940.0364.8842.2452.3237.8461.4437.0645.3438.7465.8336.8041.9138.8065.0235.8241.54
-6.533.53-2.667.13-7.046.51-1.686.19-3.894.28-1.275.65-2.120.65-1.192.96-3.47-1.10-3.615.64-4.891.41-0.995.57-5.073.85-3.884.38-5.123.03-1.225.32-3.242.78-0.595.22-4.151.45-1.717.13-6.04-0.31-1.386.60-3.64-0.71-2.357.14-3.937.20-1.2610.52-3.513.53-3.4210.70-4.283.99-0.526.87-3.213.30-4.51
-10.254.35-3.278.63-8.657.77-2.007.30-4.605.02-1.516.68-2.540.78-1.423.54-4.18-1.32-4.326.68-5.851.66-1.166.49-5.944.43-4.475.02-5.903.46-1.406.08-3.733.17-0.676.02-4.861.70-2.138.83-7.60-0.38-2.1210.10-5.94-1.12-3.7310.99-6.3111.28-2.0416.69-5.915.82-5.8617.84-6.636.04-0.8010.51-5.605.63-7.49
-3.192.15-1.554.19-4.194.06-1.033.71-2.352.68-0.783.45-1.270.38-0.691.67-1.94-0.64-2.223.50-3.010.95-0.623.44-3.232.78-2.682.99-3.622.25-0.843.56-2.232.04-0.413.58-2.860.96-1.014.09-3.21-0.18-0.763.69-2.00-0.42-1.203.54-1.843.58-0.605.17-1.611.76-1.544.87-2.062.07-0.263.33-1.471.61-2.09
-5.293.53-2.667.13-7.046.51-1.686.19-3.894.28-1.275.65-2.120.65-1.192.58-2.95-0.93-3.595.63-4.891.41-0.995.57-5.073.85-3.884.38-5.123.03-1.225.32-3.242.78-0.595.22-4.151.45-1.606.48-5.00-0.27-1.156.19-3.40-0.66-1.885.76-3.125.75-1.008.33-2.722.73-2.598.06-3.263.04-0.395.14-2.332.38-3.19
34.0736.1034.8836.0934.0236.7434.7435.7233.9035.6334.3634.9733.3234.3734.2134.6333.5534.5234.9736.3534.3936.2635.9536.3934.4637.7436.4337.3335.5037.3736.4436.9835.3136.5635.9136.3734.6036.2928.0029.0027.2828.3427.2127.7725.9627.2226.5227.4025.4526.4025.2525.4922.9123.8922.6823.3622.0022.9122.5522.7021.0621.5721.03
-1.485.092.912.28-1.214.290.860.60-1.766.355.163.981.852.071.060.58-0.760.061.280.41-2.803.251.711.10-2.544.041.860.80-2.633.993.262.11-3.07-2.26-4.42-5.07-8.735.003.332.73-1.724.822.672.52-2.235.843.373.901.098.214.273.40-1.596.805.012.39-2.027.495.492.88-1.535.040.92
-2.193.161.411.35-1.662.50-0.23-0.08-2.095.174.353.451.550.69-0.02-0.18-1.22-1.75-0.13-0.47-3.180.60-0.30-0.33-3.350.57-0.79-0.72-3.552.142.221.55-3.36-3.28-5.06-5.41-8.904.092.702.33-1.94-3.80-5.882.09-2.464.172.053.000.656.513.212.74-1.825.314.001.70-2.395.994.712.41-1.763.840.04