Unifirst Financial Ratios for Analysis 2009-2024 | UNF

Fifteen years of historical annual and quarterly financial ratios and margins for Unifirst (UNF).

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
3.253.144.364.334.614.813.954.585.093.593.082.123.352.591.872.33
----------0.000.000.100.110.120.22
---------0.000.010.110.120.150.260.29
34.9233.6634.7037.5135.4337.0437.7137.5538.6639.2738.4738.3136.4837.1939.5039.84
7.565.986.7110.729.5712.8210.756.9313.7013.7613.8613.7412.0310.9312.7013.23
7.565.986.7110.729.5712.8210.756.9313.7013.7613.8613.7412.0310.9312.7013.23
13.3911.4112.1516.5215.3818.5416.4512.5319.2719.0719.0118.8917.3416.6618.7218.95
7.806.226.7110.789.8613.1511.047.2413.8513.8214.0013.8412.0010.6311.9712.48
5.994.645.178.277.539.909.664.418.528.538.608.617.566.747.457.48
0.900.870.820.770.820.880.920.870.860.950.980.991.010.990.941.01
10.079.998.637.9510.9611.2911.7212.5711.4111.0010.8811.2510.589.3213.0313.99
8.718.008.038.779.458.898.458.509.389.599.159.609.288.839.7510.36
41.9345.6245.4641.6438.6241.0443.2042.9438.9338.0539.9138.0139.3241.3237.4435.22
6.905.175.408.077.8010.9111.194.839.1610.0110.5711.5110.599.5910.7912.10
10.868.577.5311.1211.0315.3516.646.9812.4313.9815.1917.6317.0217.0420.2624.80
5.404.034.266.356.178.758.893.867.358.118.428.497.666.707.007.57
6.905.175.408.077.8010.9111.194.839.1610.0110.5711.519.538.529.459.45
11310710399.2192.1586.4976.5471.7067.3561.8056.5850.6644.9640.1535.7132.37
15.7711.506.4811.1515.0614.7011.5310.7710.3011.309.7610.698.134.416.898.22
7.272.36-1.044.168.948.485.975.455.436.265.165.464.331.144.314.85

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
3.253.283.293.323.143.144.604.404.364.334.314.524.334.494.534.664.614.724.594.574.814.954.714.583.954.004.875.024.584.674.584.665.094.344.413.563.593.413.303.203.083.413.022.782.122.182.141.983.353.183.152.812.592.341.981.921.872.302.181.932.331.711.88
----------------------------------------0.000.000.000.000.000.000.000.000.100.100.110.110.110.140.120.120.120.200.210.210.220.220.27
----------------------------------0.000.000.000.000.000.010.010.010.010.010.110.110.120.120.120.120.120.140.150.230.240.250.260.260.270.280.290.320.38
36.1435.1532.9335.3433.9034.2131.8434.6734.7734.5833.2636.2137.8038.2735.6438.2836.7831.9435.1237.8337.3338.3135.6236.8337.6837.4936.7038.9938.1337.5836.3238.1638.6438.8436.7540.3838.9139.2738.0640.7738.0838.5037.3339.9738.1838.0337.6639.4036.3236.9235.0137.6635.5036.4836.7440.2338.8439.3138.0741.7539.9541.0638.21
8.458.034.738.956.315.793.828.016.446.594.659.219.6611.669.0512.549.526.229.5012.9112.2913.2714.2711.509.5411.0210.0112.49-2.579.469.2311.8515.6013.0310.5215.6112.7814.3211.5016.3613.4714.0511.8416.0513.4813.6412.8315.0211.2813.309.9513.539.639.999.9314.3411.2512.2811.4715.7812.0814.5613.16
8.458.034.738.956.315.793.828.016.446.594.659.219.6611.669.0512.549.526.229.5012.9112.2913.2714.2711.509.5411.0210.0112.49-2.579.469.2311.8515.6013.0310.5215.6112.7814.3211.5016.3613.4714.0511.8416.0513.4813.6412.8315.0211.2813.309.9513.539.639.999.9314.3411.2512.2811.4715.7812.0814.5613.16
---------------------------------------------------------------
8.928.184.699.316.385.784.358.386.446.574.689.199.5411.739.3712.5010.036.119.8513.3112.6913.6014.4911.859.8711.1810.3912.76-1.909.609.5511.9315.7613.2410.7415.6312.8714.4511.4516.4313.5414.2311.9816.2513.6413.6512.9315.1611.3713.2010.0313.359.649.769.4613.8110.7911.3810.5115.2111.4214.1712.39
6.986.313.467.134.834.213.286.275.074.903.796.937.449.057.249.387.364.787.4610.379.5910.4110.888.748.058.5113.928.23-1.215.945.757.319.768.206.479.618.068.897.0410.108.208.797.469.948.668.557.979.257.218.566.198.246.196.325.848.706.787.396.409.207.058.607.11
0.240.230.230.230.220.230.220.220.210.210.200.200.200.200.200.200.190.210.220.220.230.230.220.230.240.240.220.230.220.230.220.220.210.230.230.240.230.240.240.250.250.260.260.260.260.250.260.260.250.270.260.270.250.250.240.240.230.240.240.240.240.250.26
2.602.422.502.582.552.532.452.472.222.212.021.962.022.382.612.642.552.903.182.902.982.952.943.043.003.043.143.093.163.553.493.262.832.953.042.902.732.652.642.812.763.103.113.152.932.882.802.682.642.652.602.642.452.773.013.113.274.183.893.813.333.143.09
2.292.122.021.982.052.061.961.992.072.122.052.082.232.322.202.132.252.232.212.142.362.232.152.062.162.192.152.082.162.222.222.192.322.322.302.212.372.322.272.202.312.292.272.232.502.282.282.162.312.292.222.192.272.292.242.222.422.462.402.322.472.442.50
39.2242.4244.4645.4143.9243.6245.8645.3243.4342.4343.8743.2440.3038.7940.8442.2840.0940.4240.6642.1438.1840.3441.8043.6441.6341.1641.9243.3241.7440.5840.6041.1238.7438.7339.1540.7238.0538.8739.6140.8639.0039.2839.6040.3136.0039.4539.4041.6538.9939.3040.5241.1739.7239.3140.1340.5237.1536.5937.4738.8536.4536.9536.05
2.121.831.002.071.381.230.911.751.371.320.971.781.852.281.812.361.811.252.042.882.802.933.012.492.392.543.782.30-0.341.681.592.032.602.271.812.812.332.672.153.212.552.802.393.283.022.932.793.312.513.162.273.162.262.372.143.232.442.802.423.612.713.563.16
3.332.931.613.382.282.061.262.431.911.841.372.442.553.162.533.322.561.782.924.143.944.164.303.573.553.795.393.29-0.492.442.323.003.533.112.473.883.263.773.054.593.664.063.534.934.624.424.295.184.045.203.835.474.014.203.895.874.585.364.757.285.577.567.19
1.661.440.781.631.080.960.731.391.081.040.761.411.451.801.431.881.440.991.612.272.252.382.442.011.902.043.091.85-0.271.361.281.642.091.851.472.261.892.141.712.562.032.271.912.592.222.152.042.361.822.281.642.231.581.571.422.101.581.801.542.241.702.191.86
2.121.831.002.071.381.230.911.751.371.320.971.781.852.281.812.361.811.252.042.882.802.933.012.492.392.543.782.30-0.341.681.592.032.602.271.812.812.332.672.153.212.542.802.393.283.022.922.793.312.262.832.032.812.012.031.892.842.142.231.922.852.122.762.31
11311111010910710610510410310210110099.2197.7095.4394.0192.1590.4289.8588.4986.4984.6582.7280.4276.5474.6976.0573.2471.7071.4169.8268.5367.3565.6564.5363.4761.8060.5358.8758.0756.5855.2353.4652.3850.6649.1147.7946.5644.9643.5942.3841.1240.1539.2238.2037.1335.7134.8034.5033.6932.3731.4929.88
15.7710.325.692.4311.507.623.421.486.484.712.370.4111.159.846.722.7715.0610.827.162.7414.7010.406.691.6711.538.505.812.3310.777.685.663.1410.307.985.242.8611.307.875.332.649.766.625.483.4510.697.044.692.858.135.443.081.574.412.861.671.396.895.123.342.448.225.653.12
7.273.841.840.392.361.03-0.55-0.59-1.04-0.44-0.80-1.224.164.803.230.578.946.033.921.238.485.823.990.475.974.073.101.405.453.763.582.245.434.413.051.826.263.783.061.775.162.893.262.305.462.952.111.584.332.421.330.851.140.330.070.774.313.211.911.634.852.781.09