Urban Outfitters Financial Ratios for Analysis 2009-2024 | URBN

Fifteen years of historical annual and quarterly financial ratios and margins for Urban Outfitters (URBN).

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
1.291.391.311.351.653.112.722.502.532.293.003.492.563.814.284.42
--------0.12-------
--------0.13-------
33.2929.7632.8424.9831.1234.0932.5135.1034.8935.3637.6336.9134.7941.1940.5738.89
7.184.738.980.125.829.657.199.5510.2611.0013.8313.3911.5118.2117.4916.32
7.184.738.980.125.829.657.199.5510.2611.0013.8313.3911.5118.2117.4916.32
9.166.8611.313.128.9912.6410.7413.3614.4115.1518.1317.6415.8822.6622.2620.79
7.414.618.900.106.029.767.239.5410.1610.9413.8513.4411.6818.3517.7716.87
5.583.336.830.044.227.542.996.156.526.999.158.497.4912.0011.3510.87
1.251.301.200.971.201.831.851.861.881.761.391.561.671.271.181.38
6.255.735.366.646.707.036.956.806.796.006.196.246.455.836.196.61
76.9068.1771.3438.3545.1249.1046.9865.0545.5047.1655.9670.7267.4662.3050.4650.42
4.755.355.129.528.097.437.775.618.027.746.525.165.415.867.237.24
13.628.9117.790.0811.5520.018.3216.6119.7417.5016.6717.5217.3719.3416.9618.92
13.628.9117.790.0811.5520.018.3216.6119.7417.5016.6717.5217.3719.3416.9618.92
7.004.348.190.035.0713.795.5411.4612.2512.3112.7113.2012.4915.2113.4415.00
13.628.9117.790.0811.5520.018.3216.6117.4417.5016.6717.5217.3719.3416.9618.92
22.7719.4518.1015.1014.8514.1012.0211.309.6910.1811.509.287.378.597.696.28
5.401.523.622.902.724.072.703.543.332.332.842.701.812.261.901.47
3.28-0.600.981.280.563.021.952.322.260.671.591.550.591.421.260.81

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.461.331.291.421.431.401.391.331.311.311.311.311.471.441.351.451.651.331.651.571.601.763.112.742.802.642.722.292.532.622.502.202.412.362.532.242.382.642.292.202.152.363.003.003.553.823.492.943.042.652.562.303.063.313.813.784.854.674.284.053.653.324.42
----------------0.08---------------0.040.060.120.090.09--------------------------
----------------0.090.17--------------0.040.060.130.100.09--------------------------
36.4934.0129.2135.4735.8133.3326.8930.3831.6530.7327.5734.5437.6032.4226.5633.3129.632.0128.5432.5232.8231.1333.0034.6935.8632.8031.2833.3534.0631.5033.0434.7738.4634.3434.4634.9236.6733.3434.5834.8137.3834.7536.6537.7639.3236.8436.6137.6537.6435.5930.1135.4337.9336.9039.6641.1442.5241.8341.7441.5340.7937.2434.03
10.746.213.868.5110.386.412.694.887.254.404.0010.2414.337.933.2010.168.64-33.773.307.628.114.6310.129.9011.776.308.348.168.612.769.668.1513.276.6211.499.7311.967.1812.269.3912.968.7214.2513.6215.7311.2615.4013.5014.199.308.8312.0314.4411.2318.0018.2719.3517.1320.1618.9317.1011.9912.44
10.746.213.868.5110.386.412.694.887.254.404.0010.2414.337.933.2010.168.64-33.773.307.628.114.6310.129.9011.776.308.348.168.612.769.668.1513.276.6211.499.7311.967.1812.269.3912.968.7214.2513.6215.7311.2615.4013.5014.199.308.8312.0314.4411.2318.0018.2719.3517.1320.1618.9317.1011.9912.44
---------------------------------------------------------------
11.286.744.318.5610.656.502.974.457.064.213.8910.2014.177.913.2710.078.58-33.743.397.688.484.9410.2210.0211.956.318.368.078.812.819.598.2513.396.4111.409.7411.896.8912.239.3012.898.6714.3413.6015.7611.2415.4813.5114.219.358.8012.3614.6011.4918.1718.4219.4717.2220.2619.2917.3112.5313.02
8.695.143.216.488.184.742.273.175.033.003.077.8510.995.772.637.914.28-23.531.675.646.273.777.657.969.354.820.125.055.721.576.245.498.643.887.196.307.714.447.945.798.325.469.799.0810.077.269.638.599.065.975.378.319.317.3711.2612.7512.9811.0313.2012.3310.698.017.98
0.320.290.360.310.320.290.380.320.320.290.350.290.310.260.310.270.230.180.350.300.310.270.520.440.460.420.560.460.450.390.540.460.480.420.550.440.450.390.540.410.430.350.410.370.380.350.480.390.420.370.490.410.360.310.370.330.320.280.360.330.320.280.38
1.421.371.911.151.391.261.721.101.161.161.691.181.501.312.051.321.611.722.041.251.471.462.041.411.691.422.131.321.581.452.041.241.491.392.011.221.431.241.851.141.401.281.841.181.331.261.921.091.311.222.041.071.251.251.761.171.311.261.841.261.251.271.98
17.1713.6022.1816.5516.0810.5519.6814.4412.1510.8420.899.9112.2610.8712.1011.1213.2910.5313.259.8810.129.7814.0310.7010.959.6214.1511.4011.569.0718.9012.529.3710.5713.3812.0812.3913.6114.3511.5011.1411.5816.4214.1514.1013.2621.6815.7814.0212.9719.9213.0211.5911.2618.3112.0413.0013.5415.3213.4614.3112.7913.96
5.246.624.065.445.608.534.576.237.418.304.319.087.348.287.448.096.778.556.799.118.909.206.418.418.229.356.367.907.799.934.767.199.608.526.727.457.266.616.277.828.087.775.486.366.386.794.155.706.426.944.526.917.777.994.927.486.926.655.876.696.297.046.45
5.242.862.264.065.292.851.762.143.481.862.355.097.623.491.935.362.55-10.661.343.894.432.255.805.316.433.060.103.513.810.904.903.806.182.526.414.445.432.366.053.425.052.705.234.405.033.306.094.695.223.053.684.904.352.945.335.545.223.895.995.134.272.833.85
5.242.862.264.065.292.851.762.143.481.862.355.097.623.491.935.362.55-10.661.343.894.432.255.805.316.433.060.103.513.810.904.903.806.182.526.414.445.432.366.053.425.052.705.234.405.033.306.094.695.223.053.684.904.352.945.335.545.223.895.995.134.272.833.85
2.761.471.162.022.621.390.851.001.630.871.082.283.401.500.812.171.00-4.130.591.681.921.004.003.534.302.010.072.312.600.623.382.514.101.633.982.773.501.714.252.373.551.933.993.323.832.524.593.393.842.182.653.433.322.284.194.254.153.104.754.053.392.213.05
5.242.862.264.065.292.851.762.143.481.862.355.097.623.491.935.362.34-10.661.343.894.432.255.805.316.433.060.103.513.810.904.903.805.942.375.664.044.972.366.053.425.052.705.234.405.033.306.094.695.223.053.684.904.352.945.335.545.223.895.995.134.272.833.85
24.2923.1622.7722.0621.2119.9719.4518.8618.5217.9618.1017.8516.9715.6215.1014.6413.8113.2814.8514.5913.9013.9814.1013.5713.2512.3912.0211.8711.7611.4611.3010.7310.6310.029.699.649.8410.5610.1810.269.9710.0711.5010.8410.319.719.288.718.117.687.377.178.288.228.598.058.178.037.697.226.836.486.28
1.730.625.402.972.240.391.52-0.07-0.34-0.833.622.241.960.372.902.181.17-0.612.721.230.620.254.072.451.980.492.701.541.080.113.541.951.370.603.331.851.080.062.330.960.800.172.841.411.040.172.701.290.610.291.810.840.570.122.261.430.720.301.901.220.680.411.47
0.690.183.281.371.410.04-0.60-1.61-1.47-1.590.980.640.90-0.061.281.270.44-1.050.56-0.50-0.55-0.113.021.631.480.271.950.970.71-0.092.321.000.740.332.260.970.54-0.180.67-0.330.03-0.101.590.550.59-0.021.550.41-0.03-0.070.59-0.070.09-0.101.420.800.350.111.260.730.340.220.81