Stanley Black & Decker Financial Ratios for Analysis 2009-2024 | SWK

Fifteen years of historical annual and quarterly financial ratios and margins for Stanley Black & Decker (SWK).

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
1.191.210.971.321.011.141.041.711.311.391.241.341.531.771.18
0.400.360.270.280.260.330.250.370.390.370.360.340.290.300.35
0.790.770.570.380.380.540.460.600.650.590.610.530.490.490.69
24.9225.2833.3233.8732.7834.6936.8536.8136.4536.1835.8536.4936.8035.8940.53
-0.021.9011.0911.2610.408.8113.1912.0811.7811.016.947.118.243.608.13
-0.021.9011.0911.2610.408.8113.1912.0811.7811.016.947.118.243.608.13
3.945.2714.8715.8014.7412.4317.0815.6015.4914.9810.9911.5512.628.2513.56
-2.380.2210.389.288.487.3111.7810.6010.309.575.405.327.032.257.67
-1.790.9710.078.867.384.329.478.358.096.714.508.827.192.646.09
0.670.680.540.540.630.720.680.740.740.720.660.630.590.500.77
2.502.161.883.203.853.854.064.964.654.634.744.884.663.815.98
12.1213.7710.3110.958.888.707.968.908.398.126.906.576.495.366.92
30.1126.5135.3933.3441.1241.9745.8541.0243.5144.9652.9155.5756.2568.1552.73
-3.111.7514.1311.9112.098.5416.2415.1815.4013.167.566.818.592.1311.22
9.75-5.22-91.58-134.62-25.73-13.17-30.84-36.93-23.95-24.38-13.98-14.23-26.20-8.74-38.68
-1.190.685.504.904.643.126.426.195.965.413.142.893.800.994.73
-1.861.139.737.547.765.2011.029.509.358.284.874.476.071.497.29
58.9563.0970.9868.8459.5651.8253.9241.7838.0641.4444.2542.0641.8042.5024.99
7.96-9.324.0212.459.638.044.398.007.748.115.475.805.874.926.68
5.79-12.440.9210.437.555.191.815.735.896.393.353.624.273.765.55

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
1.291.271.091.191.301.281.301.211.160.850.890.971.231.211.421.321.371.261.061.010.980.950.911.140.920.941.061.041.261.251.041.711.231.161.091.311.251.281.251.391.311.301.241.241.121.081.071.341.021.141.341.531.241.571.731.771.621.581.581.181.131.231.27
0.390.390.390.400.400.390.390.360.360.370.360.270.270.280.270.280.310.320.340.260.320.320.330.330.260.260.250.250.320.330.360.370.390.390.400.390.400.390.400.370.350.350.350.360.330.340.340.340.270.300.290.290.280.260.290.300.280.260.300.350.360.410.45
0.730.760.880.790.810.830.840.770.831.231.120.570.390.380.370.380.450.540.710.380.650.650.720.540.650.600.500.460.550.570.730.600.640.710.750.650.750.730.780.590.610.610.650.610.660.700.730.530.590.570.500.490.540.480.480.490.500.470.530.690.750.850.94
29.8728.3628.6529.5626.8222.4121.2518.9024.7127.4829.3528.3032.1635.8537.3034.5435.7532.1832.6926.9334.1234.5633.1731.9135.4435.3336.3235.9737.3036.9237.3234.6837.6238.5036.5935.6436.3036.8837.0235.2436.3536.6636.5435.8235.8035.1936.6935.9536.2336.2437.5935.8436.9636.9937.1540.7336.0632.5136.1341.3541.3039.8839.55
4.481.403.520.240.950.57-1.86-1.711.751.995.183.1310.9214.1916.6121.1113.515.276.2612.439.7512.347.586.2210.259.559.3211.2111.9512.3118.0710.5612.9413.7811.0612.1612.3912.469.9610.3211.9811.799.884.098.0810.085.266.607.257.686.884.848.559.688.898.678.211.43-7.047.1510.137.647.56
4.481.403.520.240.950.57-1.86-1.711.751.995.183.1310.9214.1916.6121.1113.515.276.2612.439.7512.347.586.2210.259.559.3211.2111.9512.3118.0710.5612.9413.7811.0612.1612.3912.469.9610.3211.9811.799.884.098.0810.085.266.607.257.686.884.848.559.688.898.678.211.43-7.047.1510.137.647.56
---------------------------------------------------------------
2.39-0.551.25-2.11-1.44-1.82-4.17-3.82-0.100.364.013.749.7713.0415.4117.4212.203.534.679.218.1110.735.844.708.728.087.859.8610.5510.9016.579.1911.3712.349.5110.7710.9210.958.418.9110.5710.388.331.996.778.813.785.184.096.425.583.137.538.657.646.567.090.39-8.485.628.5310.745.77
2.43-0.280.50-7.380.124.26-4.78-23.6620.501.993.946.1310.0411.2813.0614.3910.017.434.268.966.349.475.10-2.997.098.065.328.138.178.4513.788.318.649.267.0910.048.087.926.174.898.227.576.192.016.026.553.2719.594.586.035.029.155.907.586.729.155.201.94-8.616.206.467.564.13
0.170.180.160.160.160.170.160.160.160.150.150.140.160.160.160.110.170.140.140.110.170.170.160.190.170.180.160.180.170.170.150.200.180.190.170.190.180.180.170.190.170.170.160.170.160.170.150.160.150.160.150.110.160.160.150.100.160.170.090.190.190.190.19
0.570.630.590.560.580.610.550.550.490.480.500.530.620.660.740.650.860.780.830.710.870.860.801.040.850.960.871.100.941.000.911.371.051.071.011.200.970.980.951.241.041.051.001.221.091.261.021.230.941.040.950.901.031.131.050.701.081.230.581.471.261.181.10
2.502.662.262.872.442.442.453.242.742.762.412.691.901.901.872.252.181.831.861.501.912.061.772.261.561.691.622.131.671.701.652.381.671.871.682.141.671.741.632.141.551.601.461.771.421.591.391.651.381.531.411.241.431.601.531.071.391.530.811.721.441.401.39
36.0633.8239.7531.3636.9536.9336.8127.7932.8432.6237.2733.4947.3647.2648.2539.9641.2449.1748.3659.9247.1343.6450.8139.8157.5953.1455.7042.3153.8452.7954.4537.7454.0348.2253.6542.1253.7851.6755.1942.1558.1856.2961.7650.8063.1856.5064.7954.6665.4358.7564.0272.5763.1156.1658.9983.9764.5658.9711152.3362.5864.1264.97
1.03-0.220.22-3.050.051.86-1.98-1.040.410.931.782.543.554.184.644.004.452.821.782.503.074.782.37-1.503.393.942.213.723.783.995.774.064.094.643.304.534.094.022.933.373.503.112.430.982.422.941.282.011.241.841.461.282.272.612.131.281.780.69-1.662.723.193.892.24
-3.110.62-0.659.56-0.14-5.295.443.08-1.11-1.99-4.01-16.49-15.07-15.18-17.95-45.21-11.05-6.05-2.71-5.31-5.08-7.57-3.352.30-5.56-6.73-4.38-7.07-6.50-6.44-7.65-9.87-7.10-7.25-4.73-7.05-5.82-5.99-4.08-6.24-7.44-6.42-4.66-1.81-4.63-5.08-2.12-4.20-2.63-3.56-3.64-3.90-5.31-13.08-9.39-5.23-9.35-4.256.58-9.38-8.92-9.07-4.43
0.41-0.090.08-1.170.020.71-0.75-0.400.140.270.530.991.561.801.921.651.721.040.580.961.081.660.79-0.551.211.450.861.471.391.442.111.651.581.721.211.761.481.471.051.381.471.311.010.411.001.180.500.850.530.770.650.570.981.231.000.600.830.33-0.741.151.291.490.81
0.63-0.130.13-1.820.031.14-1.20-0.670.250.551.061.752.442.822.942.532.631.630.981.601.902.941.44-0.912.272.661.512.522.322.413.702.542.522.811.982.752.452.431.752.122.262.021.570.631.631.950.841.320.901.291.050.901.641.921.510.891.280.51-1.171.772.052.291.24
57.4756.6657.6958.9560.8562.2461.9963.0964.5561.4561.9870.9869.4268.0370.6268.8464.7862.4158.1359.5654.3954.2652.3851.8253.5253.5154.7153.9252.2950.3244.5741.7840.3638.8938.0738.0638.2138.2837.0641.4444.9745.6744.7244.2545.2242.0141.1342.0643.0440.9942.4941.8042.0545.0543.9342.5041.7940.0540.7624.9924.0622.9321.58
2.820.94-2.867.962.80-0.15-1.91-9.32-13.74-10.88-7.504.021.761.74-0.9612.453.69-0.50-2.679.631.740.46-2.888.040.27-0.99-2.274.39-0.31-1.07-2.078.004.392.74-0.637.742.350.75-1.268.113.331.79-0.965.470.860.23-0.935.802.521.59-0.195.872.701.730.704.922.291.13-0.336.683.080.900.05
1.24-0.05-3.275.791.37-0.98-2.35-12.44-16.18-12.63-8.290.92-0.150.60-1.4910.432.40-1.46-3.217.55-0.14-0.78-3.475.19-1.91-2.42-2.961.81-1.94-2.15-2.375.732.951.82-1.065.891.270.12-1.556.392.211.04-1.323.35-0.69-0.76-1.413.620.960.61-0.544.271.701.080.433.761.680.79-0.565.552.270.31-0.23