Bio-Techne Corp Financial Ratios for Analysis 2009-2024 | TECH

Fifteen years of historical annual and quarterly financial ratios and margins for Bio-Techne Corp (TECH).

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
3.874.843.443.354.884.055.012.574.696.2417.7912.769.6912.6711.8116.46
0.130.150.130.170.200.300.240.270.090.08------
0.150.180.150.220.260.430.310.360.110.090.01-----
66.4167.7268.4267.9765.4166.3167.2166.5367.4667.9470.2774.4174.9677.5779.6078.81
17.8326.3026.8325.4921.3120.5521.1821.4230.1832.5144.6551.0252.8456.2358.1057.12
17.8326.3026.8325.4921.3120.5521.1821.4230.1832.5144.6551.0252.8456.2358.1057.12
27.4735.7335.9734.9132.5131.5031.2032.0838.7540.7450.0154.9956.8059.2361.1360.07
16.0229.7927.2615.9237.4315.6919.5919.8929.5534.0945.1151.7351.5656.9058.1558.86
14.5025.1024.6115.0831.0413.4619.6213.5120.9423.8231.0136.2435.7138.7340.8039.87
0.430.430.480.410.360.380.400.360.440.430.410.400.440.470.520.56
2.172.142.472.552.482.642.463.132.842.922.742.282.061.454.004.96
4.805.205.686.406.035.195.354.825.346.466.507.738.337.667.888.47
76.0270.1564.2357.0060.5570.2768.2975.7468.3156.5256.1147.2243.7947.6646.3143.08
8.1314.5215.478.8816.608.2411.698.0111.8812.7213.9515.2616.6619.1621.8823.06
28.5451.0575.74124168-65.58362-93.4275.7865.9120.7418.3720.7125.1123.1324.57
6.2210.8211.476.1711.315.107.924.889.2510.1312.8614.4715.6218.1821.1622.30
7.0412.3213.537.3513.295.798.905.8810.7611.7113.9515.2616.6619.1621.8823.06
13.0812.4710.8610.088.987.687.176.365.905.705.375.014.583.943.393.06
1.861.571.982.171.301.171.120.960.970.940.920.840.860.860.740.73
1.471.341.711.900.971.000.980.860.850.800.830.690.820.830.710.69

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
3.874.084.374.634.844.044.404.013.443.563.814.063.354.124.615.144.884.694.434.444.054.324.354.595.015.553.102.872.572.152.442.904.695.087.215.356.247.656.186.6017.7913.1112.6313.8412.7612.0116.9115.299.699.9716.098.3512.6716.7318.5514.5211.8111.1121.9917.5716.4614.93
0.130.160.190.180.150.160.100.130.130.130.140.150.170.120.130.180.200.240.220.290.300.310.330.330.240.270.270.260.270.270.280.280.090.160.160.160.080.160.160.13----------------------
0.150.190.230.220.180.200.110.150.150.150.170.180.220.140.150.220.260.330.290.410.430.460.500.510.310.370.360.350.360.390.390.390.110.190.190.200.090.190.190.160.01---------------------
66.4367.4364.7866.8767.9368.7367.5266.6069.5169.3868.2266.3567.9369.0967.2967.4564.4466.8165.6564.6266.9267.4164.7666.0367.7867.2466.0667.6865.3867.1266.8766.8966.5668.7167.4867.0967.2269.5467.6667.3668.7371.2869.7471.3474.3875.5073.6074.0974.8175.8073.8975.2476.4179.1077.3677.4178.6179.5179.6680.6176.7478.91
14.9722.0813.9420.1731.3727.2725.0020.8827.9531.1523.1524.5326.4828.1822.7424.0422.3624.5520.0018.1922.5723.8519.2615.8123.8126.2815.6718.0025.5823.2613.5722.3329.6933.2329.8027.6132.1334.5430.8932.4641.9947.9042.5445.9850.1054.2649.1550.3952.3955.4450.4752.7754.5958.6655.1656.4658.3559.2655.7958.9256.1559.59
14.9722.0813.9420.1731.3727.2725.0020.8827.9531.1523.1524.5326.4828.1822.7424.0422.3624.5520.0018.1922.5723.8519.2615.8123.8126.2815.6718.0025.5823.2613.5722.3329.6933.2329.8027.6132.1334.5430.8932.4641.9947.9042.5445.9850.1054.2649.1550.3952.3955.4450.4752.7754.5958.6655.1656.4658.3559.2655.7958.9256.1559.59
--------------------------------------------------------------
13.6120.1312.2517.9029.3127.2624.4638.4627.4323.6832.0026.152.7518.6225.1419.2734.9924.0581.299.7211.8926.9812.4710.7931.2215.2414.1015.8824.1721.6211.5221.2828.0332.4429.2628.3432.5033.9538.0231.8942.6448.2143.1146.2951.2954.9049.8750.6351.6251.6750.7352.1955.0659.5055.6457.3357.8658.9656.0159.6857.6760.18
13.2616.1710.0818.4125.0523.8718.4133.2121.3520.9229.7727.015.7818.8020.6316.3533.4718.7164.687.868.5924.1610.0610.6823.1412.0431.6910.9717.6315.395.6714.4319.0223.1321.3820.2122.3821.2829.6622.0428.9933.1129.8232.0235.7540.8933.7834.2134.6237.9834.5735.4736.3040.7339.1938.8238.8246.0937.7340.2439.1240.73
0.110.110.100.100.110.110.110.110.130.130.120.110.110.120.110.100.090.100.090.100.100.100.090.090.110.100.100.090.100.090.090.090.120.120.110.100.110.100.100.110.110.120.100.110.100.110.100.110.110.120.120.120.130.130.120.130.130.130.130.140.140.15
0.570.550.530.490.560.540.550.600.620.690.700.740.710.680.690.630.610.650.670.710.700.640.680.610.680.610.770.700.900.740.660.610.790.720.670.630.780.680.690.680.740.710.640.610.580.560.530.510.520.500.480.460.411.171.121.111.041.071.031.031.341.33
1.271.331.311.351.381.361.471.551.481.441.761.751.781.541.751.671.441.661.651.491.391.381.541.421.501.491.571.351.341.221.261.191.441.481.801.561.681.711.791.761.681.892.081.941.982.032.192.032.081.872.162.182.062.032.122.061.951.852.362.102.081.96
70.9867.5968.4966.4865.2566.2261.2358.1360.7562.6451.1051.5350.5158.3151.4754.0562.7254.3054.3960.2864.5565.2058.4263.3760.0660.2457.5166.7967.1573.9471.2675.6962.3760.6250.1257.5753.5752.6950.3051.0653.5047.5243.3146.4045.5044.3141.1444.2843.1748.1641.6441.3443.6644.2742.3843.7946.0548.5838.1942.9143.2145.90
1.962.441.402.553.843.722.745.123.643.514.234.190.932.933.012.324.262.829.041.231.413.901.601.573.861.874.901.652.912.440.842.102.913.553.022.713.112.964.053.013.374.073.353.773.854.603.653.774.044.934.324.674.835.494.905.045.166.455.065.685.566.48
6.899.496.3411.3513.5015.0712.8329.8917.8217.9923.9332.7513.0514.5416.4816.6943.16104304-12.05-11.23-29.28-8.05-7.63120515-164.79-20.08-33.90-15.34-4.65-10.8318.5929.4322.1126.6416.1117.7431.4013.235.015.904.965.694.645.584.514.695.026.235.576.066.345.765.155.315.466.825.366.045.936.93
1.501.801.011.852.862.702.123.822.702.623.133.040.652.182.231.632.901.825.990.750.872.380.950.932.621.223.141.041.771.450.491.242.272.702.282.012.482.202.972.353.113.813.123.523.654.363.503.603.794.644.144.384.595.334.784.894.996.214.925.505.386.26
1.702.041.142.093.263.112.474.453.183.073.653.570.772.592.641.913.412.147.060.870.992.701.081.052.941.363.591.222.131.770.611.522.643.002.542.272.862.503.422.623.374.073.353.773.854.603.653.774.044.934.324.674.835.494.905.045.166.455.065.685.566.48
13.0812.7912.5012.6212.4712.0111.6311.1610.8610.9110.8210.4810.089.969.879.328.988.478.647.717.687.587.267.347.177.056.666.416.366.085.976.005.905.735.765.635.705.525.535.365.375.265.074.935.014.884.714.624.584.374.053.983.943.813.653.533.393.373.283.163.062.86
1.861.390.890.371.571.060.740.351.981.360.910.292.171.410.960.411.301.020.700.261.170.810.550.251.120.690.550.300.960.620.450.170.970.720.470.210.940.690.480.240.920.670.430.220.840.630.410.200.860.600.370.230.860.620.400.210.740.530.380.190.730.54
1.471.110.710.281.340.890.650.291.711.170.810.261.901.210.830.340.970.800.540.191.000.720.500.230.980.590.480.260.860.560.420.160.850.630.400.170.800.600.430.210.830.590.380.190.690.520.340.180.820.570.350.220.830.610.390.200.710.510.360.180.690.52