Werner Enterprises Financial Ratios for Analysis 2009-2024 | WERN

Fifteen years of historical annual and quarterly financial ratios and margins for Werner Enterprises (WERN).

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
1.922.462.351.671.511.471.721.742.072.292.081.811.721.771.94
0.300.320.240.130.170.040.060.140.070.080.050.09---
0.420.480.320.170.270.100.060.180.080.090.050.13---
54.6955.3860.0064.0860.7058.1558.7758.2558.1951.7050.3351.1751.5854.7158.30
5.379.8211.319.599.159.126.796.289.587.486.898.428.677.415.80
5.379.8211.319.599.159.126.796.289.587.486.898.428.677.415.80
14.4918.3321.1020.6919.2818.4917.0816.7118.8015.7615.4116.6216.5915.8015.12
4.509.8712.659.479.019.116.836.349.617.566.988.508.737.515.93
3.427.339.477.136.786.849.593.945.914.614.285.065.134.413.40
1.041.061.051.101.151.181.171.121.321.451.501.531.541.581.42
82.3010198.1870.6510510274.6265.6953.3257.9764.0242.7532.1048.7454.61
6.986.005.646.516.576.746.406.747.266.898.269.298.799.048.72
52.2960.8764.7456.1055.5754.1257.0254.1550.2752.9744.2139.2841.5440.3641.86
7.3517.0119.7014.1515.0313.2917.127.9513.2211.8311.2314.4114.1711.968.03
8.5519.9821.8314.1515.0313.2917.127.9513.2211.8311.2314.4114.1711.968.03
3.567.9310.047.847.798.0711.224.417.806.666.417.727.896.954.82
5.1611.5214.9412.3412.5012.7916.116.8512.2410.8510.6813.1314.1711.968.03
24.0922.8320.1817.5916.0417.9516.3613.7813.0011.5810.629.769.959.219.80
7.446.954.906.426.095.803.904.285.102.843.173.473.613.142.70
1.032.032.062.592.040.961.16-1.660.26-0.081.100.410.441.501.33

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
1.691.901.921.961.932.342.462.411.642.342.352.182.571.731.671.811.731.511.511.311.981.411.471.411.811.941.721.781.741.791.741.941.641.802.071.912.042.152.292.002.012.092.081.922.051.811.811.851.811.581.722.081.971.981.772.402.122.031.942.112.141.75
0.310.280.300.310.300.320.320.290.250.240.240.210.190.120.130.130.130.140.170.210.270.040.040.040.070.060.060.070.070.090.140.130.130.070.070.080.080.080.080.090.050.050.050.060.050.050.09---------------
0.460.390.420.460.430.470.480.410.330.320.320.270.230.140.170.150.150.230.270.330.380.100.100.100.080.060.060.070.070.130.180.150.150.080.080.080.090.090.090.090.050.050.050.070.050.050.13---------------
54.7355.3654.6254.1355.6454.3855.3755.6053.9456.7559.6759.7660.1760.5064.1063.7865.7862.7261.2860.9859.9060.6459.3058.3857.5657.2258.6458.7059.6158.1458.1857.6358.0859.1760.4258.2557.2256.7954.9551.2250.8949.4850.7049.7650.8250.0451.8050.4751.6050.7852.4051.3051.1251.5155.0954.9954.8353.8355.8257.9959.7559.92
2.582.034.614.635.826.4110.269.218.9610.9212.8710.1511.8310.1313.1310.529.285.2410.568.639.318.0611.5910.078.206.247.946.797.115.186.745.725.936.7310.839.889.777.709.517.557.814.766.976.378.365.828.468.259.807.109.739.829.075.858.778.677.674.306.967.645.462.85
2.582.034.614.635.826.4110.269.218.9610.9212.8710.1511.8310.1313.1310.529.285.2410.568.639.318.0611.5910.078.206.247.946.797.115.186.745.725.936.7310.839.889.777.709.517.557.814.766.976.378.365.828.468.259.807.109.739.829.075.858.778.677.674.306.967.645.462.85
--------------------------------------------------------------
1.591.213.673.734.945.649.408.9311.659.4813.2212.2914.8710.0413.0810.429.145.0710.318.369.238.0811.5310.028.226.288.016.827.125.206.785.776.026.8210.919.929.767.729.547.637.914.887.086.478.465.908.578.349.887.169.849.889.085.918.868.787.754.387.097.765.563.03
1.240.822.872.903.684.236.986.658.647.0310.039.0711.097.549.767.856.883.897.806.326.906.058.447.556.184.9424.884.264.473.204.203.723.674.166.936.005.964.675.914.714.732.914.284.155.103.555.104.965.884.265.785.805.333.475.215.214.522.554.104.423.151.75
0.250.250.260.260.260.270.280.290.290.290.290.280.270.280.290.280.270.280.290.290.290.280.310.310.310.310.310.300.300.290.290.290.290.300.330.340.350.330.370.380.390.360.380.380.380.370.380.380.390.380.390.400.420.390.400.370.380.350.370.340.320.32
21.1519.9920.6421.7422.4525.4526.4728.6030.6527.3227.7023.9921.7520.4318.4622.8622.3527.1126.0524.7424.4724.2626.1522.2022.6622.6620.0718.7818.1117.0416.9914.9214.1012.5812.7513.6413.6512.2513.9817.7517.6517.1216.2214.4912.3110.9310.569.979.698.778.008.7410.1010.7412.3316.2516.3015.2915.2614.4413.4413.39
1.741.741.751.721.721.701.571.601.291.611.581.551.561.571.701.611.761.781.661.681.771.771.771.791.751.761.721.691.891.801.741.821.761.801.831.961.891.791.781.931.921.922.112.052.162.162.332.222.282.242.232.302.302.132.312.052.302.062.302.242.092.25
51.8251.7851.5152.4152.2653.0057.3256.2969.6555.9757.0457.9957.6457.2752.9055.9451.1650.6454.2953.5150.9050.7850.7550.3751.3051.0352.4553.3447.5649.9151.7049.3951.1450.0049.0745.9947.6550.1650.5146.7446.8546.8242.7143.8941.6541.7538.6940.4639.5540.1940.3939.0639.0542.3138.9943.8139.1943.7839.1240.2343.0239.94
0.630.411.521.552.012.424.234.035.484.105.874.985.563.795.073.933.442.094.373.674.202.834.313.823.132.2911.912.142.251.592.191.931.902.123.923.553.632.713.923.233.261.852.872.823.502.403.633.163.972.854.054.023.872.383.603.172.841.512.562.451.670.92
0.740.481.771.822.352.854.964.446.054.546.505.385.563.795.073.933.442.094.373.674.202.834.313.823.132.2911.912.142.251.592.191.931.902.123.923.553.632.713.923.233.261.852.872.823.502.403.633.163.972.854.054.023.872.383.603.172.841.512.562.451.670.92
0.300.200.740.740.971.141.971.962.582.082.992.633.022.092.812.161.881.102.261.802.041.702.622.341.941.537.811.281.340.921.221.101.061.252.312.042.061.522.211.791.841.041.641.571.961.321.951.872.311.602.252.332.251.372.091.941.730.901.531.491.020.56
0.430.301.071.071.411.652.862.864.133.124.453.944.533.314.423.422.981.813.632.913.052.724.153.672.912.1611.202.002.101.441.891.681.651.963.633.283.342.493.602.953.101.762.732.653.322.273.313.163.972.854.054.023.872.383.603.172.841.512.562.451.670.92
23.5423.9424.0923.8623.6223.2022.8321.9421.1920.6220.1819.5319.0918.0817.5917.0816.4515.9516.0415.3914.9218.2517.9517.4717.0116.7416.3614.5314.2813.9913.7813.5813.3713.1913.0012.5612.2211.8511.5811.2110.9410.7110.6210.3810.169.989.7610.9210.6110.239.9510.109.769.419.2110.5110.199.949.8010.8210.6110.44
3.141.397.445.594.422.626.955.224.132.354.903.732.781.996.424.994.141.926.094.773.151.975.804.222.521.373.903.072.461.194.282.782.361.265.103.902.671.672.842.281.250.813.172.341.511.043.472.711.891.143.612.741.600.743.142.131.530.902.702.351.391.06
1.261.091.03-0.280.431.012.031.231.761.792.061.341.271.442.592.292.591.652.040.870.830.790.960.180.110.611.161.411.550.98-1.66-1.28-1.24-0.140.260.440.470.50-0.080.250.380.591.100.881.040.750.410.250.230.020.440.640.150.461.500.990.810.751.331.281.020.46