Winmark Financial Ratios for Analysis 2009-2024 | WINA

Fifteen years of historical annual and quarterly financial ratios and margins for Winmark (WINA).

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
1.601.711.751.613.451.942.273.103.251.162.920.923.041.241.63
11.399.2910.102.820.641.232.251.221.91-----0.53
-1.17-1.19-1.22-1.922.06-6.00-1.89-5.77-2.160.86-0.60-0.381.99
94.6495.4496.2496.8296.6396.2296.5196.8496.1895.7296.0494.9595.3994.5993.86
64.0165.8565.6360.8758.8457.6055.6357.4453.4154.0453.4452.5648.4044.9928.91
64.0165.8565.6360.8758.8457.6055.6357.4453.4154.0453.4452.5648.4044.9928.91
64.9366.6066.2161.7660.1459.4856.7858.7854.8855.9455.1854.4950.3947.8832.78
61.7062.3863.7658.3156.5754.1852.2553.9050.7253.2753.0944.5845.5542.6126.36
48.2748.4351.0445.1443.8641.5535.2433.3031.3932.8032.7124.9127.4625.0715.68
2.872.672.912.111.191.551.431.371.461.121.051.191.080.980.66
11.564.829.0419.7428.7225.4725.0524.0258.7028.0222.8136.8234.5525.9720.56
55.2540.7644.1736.6433.8234.2317.6321.0614.7511.1440.6219.6935.8319.2921.18
6.618.958.269.9610.7910.6620.7117.3324.7432.778.9918.5410.1918.9217.24
-67.92-63.97-102.14-262.10258-626.51-68.83-282.07-71.0792.8647.8072.1640.1544.8838.16
-64.02-60.11-100.58-248.81272-556.23-67.68-261.82-69.6992.8647.8072.1640.1544.8838.16
13912914895.1551.9964.5650.3345.5945.9836.6734.3829.7129.5224.5210.30
70653093047793.6814586.1662.4364.8092.8647.8072.1640.1544.8817.89
-16.92-17.81-10.75-3.033.15-1.23-9.29-1.88-7.444.327.423.597.044.582.99
12.0812.1912.6911.1912.358.425.816.074.803.454.133.473.932.382.56
11.9812.1512.6110.1110.112.68-0.060.000.00-1.920.10-1.110.01-0.63-0.48

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
3.842.881.831.603.773.042.091.711.821.160.471.754.121.431.411.611.891.033.273.452.021.751.491.941.661.621.642.272.352.812.493.102.822.902.213.251.981.971.321.160.790.800.842.922.641.841.260.920.750.740.763.042.071.621.501.241.081.531.651.631.731.591.42
2.183.065.6911.392.102.874.879.297.2429.69-5.6810.101.405.594.402.821.9016.671.960.641.161.862.451.231.471.832.192.252.220.861.071.221.531.741.991.912.102.36-------------------0.440.480.530.550.590.61
-1.95-1.59-1.29-1.17-2.03-1.63-1.34-1.19-1.23-1.10-0.91-1.22-3.80-1.55-1.63-1.92-2.60-1.29-2.172.06-8.45-2.40-1.84-6.00-3.39-2.35-1.95-1.89-1.906.70-16.49-5.77-3.03-2.44-2.09-2.16-1.96-1.780.200.861.261.580.86--0.070.210.600.630.860.86---0.150.380.791.541.681.991.992.232.43
96.9295.7294.8394.5695.8193.8794.2294.5196.6194.9195.6994.8396.6296.6097.0197.3796.7397.2196.1496.9596.5996.0996.8897.0495.7696.2595.9197.2495.8996.9695.9998.1797.0296.3995.6996.4795.5595.8396.6897.1495.4895.3094.8196.5896.1596.2695.1295.1395.3894.8094.3996.5494.6494.7895.6596.9591.6494.7395.2194.9594.2092.6393.56
69.4064.7060.7662.4767.7665.0860.3663.4268.1464.7967.0263.3868.4262.9467.8365.1068.3853.9054.3161.1962.3756.5854.9159.6359.8155.4855.4759.8256.6253.6452.2960.1562.3757.2049.6857.1858.3952.2347.4457.8155.9550.5251.0954.4957.7450.3550.7753.0857.1949.4349.4052.1956.4539.9646.9350.9047.3242.5438.5728.6132.4425.3428.86
69.4064.7060.7662.4767.7665.0860.3663.4268.1464.7967.0263.3868.4262.9467.8365.1068.3853.9054.3161.1962.3756.5854.9159.6359.8155.4855.4759.8256.6253.6452.2960.1562.3757.2049.6857.1858.3952.2347.4457.8155.9550.5251.0954.4957.7450.3550.7753.0857.1949.4349.4052.1956.4539.9646.9350.9047.3242.5438.5728.6132.4425.3428.86
---------------------------------------------------------------
67.9262.5158.0260.5666.0762.6857.0959.6864.3660.9864.4660.8566.7261.3666.1763.2466.5449.6551.5259.4760.3153.6752.5056.7756.7951.7951.3755.1853.3250.9349.5056.9159.0453.6145.6653.2854.0149.9146.7556.9355.2049.5050.6654.4557.5449.9650.0233.4149.5646.3748.8949.0751.7537.2846.1249.8443.0739.7937.2426.1630.4422.7325.69
51.7051.8443.8548.4949.9650.9243.5748.1748.9947.3449.1456.8850.0346.9749.9048.1851.2140.8039.3447.3246.3141.9539.6744.8643.7539.3338.3342.9533.0533.6631.1735.2336.4233.0928.2033.3633.3730.7028.8034.6734.2830.4931.2833.3135.5030.9330.8613.4028.7827.9229.7131.6329.5922.3327.2529.7824.4423.6722.1615.5718.1113.5215.28
0.410.450.520.690.400.430.520.690.630.701.310.760.370.700.610.540.510.390.310.290.410.380.390.370.380.370.380.360.380.350.380.360.380.380.370.360.340.340.430.300.330.280.310.260.300.320.320.300.340.290.300.280.280.380.270.250.250.180.170.170.160.140.15
1.503.212.472.833.222.792.871.511.121.611.763.241.671.975.074.157.034.136.826.349.645.955.024.706.334.549.325.0510.875.026.733.625.227.258.6813.2211.9410.629.174.967.728.397.804.878.206.828.908.988.027.499.616.689.2915.7910.103.729.633.763.974.255.148.944.10
13.438.8711.9113.3013.099.6312.9710.5812.628.7013.6111.5112.7310.178.909.319.386.5418.978.259.915.5812.598.0610.8812.0911.404.495.175.6111.775.487.207.5512.023.607.385.8917.682.9514.827.6413.8910.039.976.7210.864.979.295.519.239.248.859.268.234.903.625.445.705.335.894.162.72
6.7010.147.566.776.889.356.948.517.1310.346.617.827.078.8510.119.669.5913.764.7410.919.0816.137.1511.178.277.447.8920.0317.4116.047.6516.4212.5011.917.4925.0012.2015.295.0930.546.0711.776.488.979.0313.408.2918.109.6816.339.759.7410.179.7210.9318.3524.8416.5515.7916.8915.2921.6233.05
-32.96-24.70-16.77-16.43-32.26-23.77-16.55-16.51-17.16-13.13-14.98-29.65-78.76-70.15-72.72-71.12-105.94-27.23-24.5167.97-291.55-52.80-33.83-159.26-71.44-34.41-24.31-21.39-14.88119-243.27-77.65-38.77-24.60-16.74-18.43-14.83-11.4621.7725.9635.4329.3228.0612.0215.7816.0518.539.8024.9322.8725.0711.9211.4812.5512.5613.5513.7413.9112.719.5310.767.699.71
-29.99-22.85-15.72-15.48-29.15-21.88-15.44-15.52-16.08-12.38-14.84-29.20-75.19-66.96-69.43-67.51-99.13-26.37-24.0371.46-244.11-50.57-32.90-141.39-67.91-33.43-23.80-21.03-14.65137-192.12-72.07-37.33-23.94-16.37-18.08-14.83-11.4621.7725.9635.4329.3228.0612.0215.7816.0518.539.8024.9322.8725.0711.9211.4812.5512.5613.5513.7413.9112.719.5310.767.699.71
21.4123.3423.0033.5420.0721.7622.5033.4130.7433.3764.5243.0818.3433.0830.3325.8226.1115.9812.2213.6818.7915.8215.5316.4116.5614.6314.5815.6412.4211.7611.7112.5514.0112.6010.4311.9311.4210.4912.3410.2511.268.449.688.6510.669.929.744.049.878.028.958.778.148.537.407.416.014.373.832.572.921.942.31
38.7750.8578.6317135.5844.4264.03137107377-100.0327031.8732224712994.9442723.6324.6646.0345.2049.1336.8233.7228.7329.0126.7818.2216.4316.6517.1920.3818.2916.5016.8116.3815.5721.7725.9635.4329.3228.0612.0215.7816.0518.539.8024.9322.8725.0711.9211.4812.5512.5613.5513.747.736.634.474.843.153.79
-9.59-11.99-15.03-16.92-9.91-12.51-15.61-17.81-17.57-20.01-18.90-10.75-3.53-3.47-3.46-3.03-2.37-4.99-8.183.15-0.82-3.66-5.72-1.23-3.00-5.37-7.44-9.29-10.311.10-0.55-1.88-3.81-5.34-6.63-7.44-8.72-10.055.564.323.182.883.157.426.485.364.383.593.422.962.767.046.105.454.854.583.913.363.362.993.152.932.72
9.185.903.6512.089.646.373.8512.199.666.283.5912.699.266.043.5111.198.246.113.6712.359.365.823.378.426.634.452.505.814.462.991.966.074.623.052.464.804.192.682.273.452.991.451.324.133.241.861.293.472.811.570.863.932.932.151.482.381.491.270.762.562.081.360.52
9.135.853.6311.989.566.343.8512.159.646.273.5912.619.236.003.4810.117.425.403.2310.117.384.392.942.681.661.260.95-0.06-0.02-0.040.270.000.810.591.360.00-0.110.270.74-1.92-1.24-1.510.070.100.36-0.130.38-1.11-0.53-0.510.030.01-0.060.040.57-0.63-0.95-0.40-0.04-0.48-0.34-0.40-0.52