Strattec Security Financial Ratios for Analysis 2009-2024 | STRT

Fifteen years of historical annual and quarterly financial ratios and margins for Strattec Security (STRT).

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
2.152.072.312.252.601.982.201.902.091.992.082.101.781.851.950.52
0.050.060.050.050.170.180.220.150.110.060.02-----
0.060.060.050.060.200.220.280.170.130.070.020.02-0.020.04-
12.178.5512.3916.219.2011.8712.4014.6116.3717.6618.8818.0718.0016.1615.89-
3.31-1.241.976.99-2.252.183.023.565.537.567.615.635.853.342.13-
3.31-1.241.976.99-2.252.183.023.565.537.567.615.635.853.342.13-
6.392.316.2511.072.775.706.346.298.059.719.998.148.295.885.56-
3.76-1.562.057.21-2.11-4.204.033.934.788.257.985.665.673.882.70-
3.03-1.351.554.64-1.97-3.502.801.722.284.964.633.093.152.081.65-
1.481.451.421.561.451.561.431.521.661.781.641.761.681.761.43-
5.785.814.925.746.439.088.2510.058.689.749.2710.0510.789.8810.24-
4.514.915.466.428.595.645.686.245.946.885.066.286.286.585.76-
80.9774.3766.8556.8742.5064.7164.3258.5361.4253.0672.1058.1658.1655.4663.32-
7.28-4.244.0214.01-3.34-6.768.537.019.1416.1114.1910.2914.028.435.206.97
7.28-4.244.0214.01-3.34-6.768.537.019.1416.1114.1910.2914.028.435.2029.21
4.51-2.622.779.63-2.21-4.065.094.425.8310.648.986.797.385.132.72-17.67
6.88-3.993.8313.26-2.78-5.526.675.978.0915.1213.9310.2914.028.435.206.97
56.5653.7156.7356.0946.7850.8750.4148.0243.3343.2138.7133.1826.4527.38--
3.062.572.679.136.808.151.876.312.278.733.284.645.182.523.07-2.08
0.62-1.85-0.966.813.503.41-4.63-3.78-4.201.49-0.350.961.11-0.320.97-5.87

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
2.182.152.242.091.942.072.172.382.342.312.372.662.492.252.242.162.112.602.062.191.891.982.022.222.152.202.062.162.021.901.871.992.072.092.342.122.041.992.332.121.992.082.062.112.052.102.001.841.801.781.831.901.831.851.791.921.861.952.072.162.122.352.61
0.050.050.06--0.060.090.070.060.050.050.070.070.050.070.100.140.170.130.140.160.180.190.200.210.220.210.210.190.150.140.110.130.110.100.060.040.060.070.020.030.02---------------------
0.060.060.060.060.060.060.100.080.060.050.050.080.080.060.080.110.160.200.140.170.190.220.230.250.270.280.260.260.230.170.160.130.150.130.110.060.040.070.070.020.030.020.020.020.030.020.020.020.02-0.010.010.020.020.030.030.030.04-----
13.6112.9810.4311.3913.839.287.866.5310.3811.2912.6313.2312.5113.8615.3317.4617.83-18.4814.559.7213.2411.0312.2311.2812.9611.2513.0112.2613.1413.7016.0413.8414.7714.8615.4418.1517.1010.5717.7318.0922.9520.0317.4619.5718.2418.1717.7117.0419.3718.9518.4917.0617.3317.4213.8916.2916.9615.8716.7514.5616.4910.176.99
3.646.771.390.054.510.98-1.95-4.15-0.171.192.913.220.433.685.539.378.87-38.265.37-1.662.440.183.092.013.542.573.732.423.342.815.302.483.514.614.087.236.142.436.657.8112.169.466.028.216.346.614.095.306.497.146.144.954.97-29.111.782.733.34-44.922.350.401.48-10.10-19.12
3.646.771.390.054.510.98-1.95-4.15-0.171.192.913.220.433.685.539.378.87-38.265.37-1.662.440.183.092.013.542.573.732.423.342.815.302.483.514.614.087.236.142.436.657.8112.169.466.028.216.346.614.095.306.497.146.144.954.97-29.111.782.733.34-44.922.350.401.48-10.10-19.12
---------------------------------------------------------------
3.778.141.190.884.31-0.12-2.48-3.75-0.080.593.613.620.264.305.819.089.23-37.555.31-1.412.480.542.98-26.003.764.034.143.714.232.996.203.083.301.864.117.545.791.977.259.5112.979.566.458.527.057.962.675.426.446.726.875.413.466.041.533.384.312.282.592.973.08-9.21-16.76
2.666.721.070.863.08-2.04-1.77-1.620.100.312.713.000.102.663.695.596.34-24.942.56-1.261.04-0.051.35-19.632.963.412.542.792.401.643.170.401.540.592.003.303.371.214.875.607.515.524.154.673.963.931.443.253.704.243.862.351.933.640.082.042.371.391.481.612.29-7.51-9.65
0.380.390.400.360.400.390.370.350.380.390.360.370.330.350.400.410.420.160.390.360.380.410.410.380.370.380.380.360.360.400.420.410.400.450.380.420.410.430.380.450.520.480.440.450.460.470.440.430.420.460.450.450.450.500.440.420.410.420.380.380.310.220.24
1.431.521.601.171.431.551.681.561.441.361.381.341.131.341.771.872.010.921.711.832.022.422.402.092.202.222.362.142.262.642.412.182.212.381.911.861.902.532.042.152.942.682.462.182.382.712.382.262.242.912.502.352.262.772.412.292.563.022.622.732.271.532.37
1.131.201.211.341.321.321.521.551.571.491.521.561.511.461.501.481.580.941.611.611.521.491.461.681.491.511.661.701.601.621.551.671.471.601.691.691.701.651.431.661.541.481.571.841.531.691.491.771.571.721.701.891.611.871.541.831.661.701.601.991.451.641.39
79.5474.8574.6767.3668.1468.3659.1558.2157.3060.5859.4057.7759.7561.8460.1560.6356.8795.8856.0355.8059.2260.3761.6653.6160.3259.6754.3352.8556.2355.5558.0154.0261.1056.1153.2153.3852.8754.6963.0554.3058.4060.6957.4648.9858.8153.1460.2450.7257.2652.4453.0147.6755.9048.0858.2949.0954.2352.9256.3745.3162.1154.9564.92
1.654.460.510.362.07-1.46-1.50-1.16-0.030.301.861.770.102.032.854.755.39-7.042.62-0.581.420.771.62-11.752.362.512.152.181.871.753.071.051.531.162.043.302.511.273.504.627.164.743.323.873.353.501.463.083.684.883.852.522.223.000.961.641.921.131.021.131.29-2.97-3.49
1.654.460.510.362.07-1.46-1.50-1.16-0.030.301.861.770.102.032.854.755.39-7.042.62-0.581.420.771.62-11.752.362.512.152.181.871.753.071.051.531.162.043.302.511.273.504.627.164.743.323.873.353.501.463.083.684.883.852.522.223.000.961.641.921.131.021.131.29-2.97-3.52
1.022.760.320.241.31-0.90-0.96-0.78-0.020.201.291.240.071.401.933.123.36-4.651.65-0.370.850.460.97-7.231.421.491.281.331.151.101.920.680.960.741.332.141.630.842.293.044.403.002.202.602.212.310.851.681.952.572.391.591.331.820.490.860.980.590.560.620.70-1.65-2.30
1.564.220.480.362.07-1.38-1.37-1.07-0.030.281.771.640.101.932.644.284.64-5.872.29-0.501.200.631.31-9.401.871.961.701.731.521.492.650.931.331.031.843.112.411.193.264.526.974.653.323.873.353.501.463.083.684.883.852.522.223.000.961.641.921.131.021.131.29-2.97-3.49
56.4056.4355.1954.5954.2353.7155.6255.4356.0556.7357.2456.1355.2556.0954.5353.2249.4146.7849.9650.4150.4550.8750.7549.9751.1750.4150.4148.3948.0848.0245.7343.3343.7443.3345.0444.2642.8643.2143.6742.4041.0838.7136.5835.3033.8633.1829.6327.8127.1826.4529.21--27.38---------
2.803.06-1.80-1.73-0.972.571.912.221.202.673.010.00-2.489.136.544.441.936.807.945.514.038.156.635.302.101.871.000.280.106.313.312.731.372.272.330.891.118.736.554.902.573.282.641.94-1.204.642.341.780.515.182.961.57-0.062.52-0.090.68-0.693.050.451.880.36-2.09-2.73
2.290.62-3.31-2.83-1.71-1.85-1.58-0.190.00-0.960.61-1.37-3.196.814.893.241.533.505.223.542.883.413.002.781.03-4.63-4.23-3.58-1.96-3.78-3.95-1.73-0.66-4.20-1.62-1.350.041.490.540.200.63-0.35-0.010.10-2.030.960.060.25-0.291.110.08-0.32-1.11-0.32-1.80-0.37-1.220.96-1.050.94-0.18-5.91-6.08