Wingstop Financial Ratios for Analysis 2012-2024 | WING

Fifteen years of historical annual and quarterly financial ratios and margins for Wingstop (WING).

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
202320222021202020192018201720162015201420132012
2.033.631.771.440.921.130.830.661.561.020.72-
2.792.242.943.723.133.661.822.031.111.111.26-
-1.56-1.83-1.52-1.38-1.48-1.39-2.28-2.02-9.82-10.42-5.06-
84.6482.2779.6880.4779.4179.0778.4475.5171.5069.6562.4158.79
24.4725.7126.1123.0721.4925.1525.4125.7525.2926.7825.2217.45
24.4725.7126.1123.0721.4925.1525.4125.7525.2926.7825.2217.45
27.8029.3029.4226.7225.0328.3028.1629.0929.1531.3630.7723.46
20.5019.3920.8510.8312.9017.5821.5621.2520.3221.2020.3812.75
15.2514.8115.109.3710.2514.1817.9613.3312.9613.3212.766.94
1.220.841.131.181.201.101.110.920.650.570.52-
------------
37.0837.7940.4050.4838.5826.5829.1932.3022.9128.3433.45-
9.849.669.047.239.4613.7312.5011.3015.9412.8810.91-
-15.34-13.55-13.78-6.83-9.78-9.66-40.98-18.45-104.48-99.91-37.16-
-12.58-10.89-10.69-5.45-7.00-7.07-17.39-9.03-11.55-10.35-7.64-
18.5712.4817.1211.0212.3315.5419.9812.328.387.566.64-
27.5216.7626.6818.5520.8425.6933.5218.9711.8411.259.61-
-15.59-13.06-10.37-11.50-7.11-7.67-2.01-2.60-0.34-0.34-0.79-
4.072.541.632.201.301.310.930.750.500.550.430.41
2.721.880.942.160.541.180.850.680.430.530.340.35

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312012-12-31
1.932.172.031.974.053.143.633.683.981.891.771.501.641.681.441.431.421.170.920.871.401.191.130.760.680.730.830.890.900.790.660.721.701.141.561.301.590.731.02-----
2.592.562.793.012.062.172.242.352.412.482.943.033.203.473.722.442.632.893.133.193.353.493.662.822.903.061.821.731.801.912.032.081.001.061.111.181.211.741.11-----
-1.64-1.64-1.56-1.50-1.95-1.88-1.83-1.76-1.72-1.69-1.52-1.49-1.46-1.42-1.38-1.78-1.70-1.61-1.48-1.49-1.44-1.42-1.39-1.58-1.56-1.52-2.28-2.43-2.30-2.15-2.02-1.97-859.28-17.81-9.82-6.68-5.76-2.45-10.42-----
85.4485.4184.5184.9584.4784.6483.7083.0382.2279.4379.5676.8980.8081.2280.7081.5579.7579.8480.3379.2778.2379.7578.0878.9879.0980.2278.8376.3878.2580.2581.0672.0772.7972.4772.6072.1571.3269.8570.6170.2669.5268.15--
26.4729.3223.4726.1824.6923.6127.5325.9926.7121.7919.7431.6725.5428.0115.9322.3529.5524.3016.7223.9621.1824.5021.4227.0826.8025.5924.0526.2525.9225.5215.4127.8831.8634.5631.6330.5912.5126.0217.7624.4430.9434.71--
26.4729.3223.4726.1824.6923.6127.5325.9926.7121.7919.7431.6725.5428.0115.9322.3529.5524.3016.7223.9621.1824.5021.4227.0826.8025.5924.0526.2525.9225.5215.4127.8831.8634.5631.6330.5912.5126.0217.7624.4430.9434.71--
--------------------------------------------
23.4426.4119.6722.3320.7719.2322.2819.4819.5315.1414.6826.0420.5122.66-12.0115.4723.1816.828.8615.4512.3315.329.1420.4220.4820.9420.5722.3221.7821.6311.2220.5128.7130.9828.0925.915.0521.7313.2419.3224.4928.48--
17.6519.7214.8116.6615.1014.4116.7814.4315.8811.399.5717.1615.2918.62-10.1315.7517.4614.605.7311.8410.1313.755.9716.4518.4716.5022.9314.2015.5418.737.2112.6217.9519.4318.4416.583.0413.428.3112.1415.3917.90--
0.340.350.340.330.240.240.250.230.210.150.290.250.320.320.300.290.330.290.320.300.320.320.290.300.300.310.290.270.280.300.330.190.190.190.170.160.160.170.15-----
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9.7010.6910.249.809.9710.7311.0810.5011.5811.9410.3010.8712.6411.8812.8411.9011.8510.7910.288.518.759.777.039.768.269.697.717.148.2710.2511.488.628.808.646.047.967.469.167.59-----
9.288.428.799.189.028.398.128.577.777.548.748.287.127.587.017.567.608.348.7610.5710.289.2112.819.2210.909.2911.6712.6110.888.787.8410.4410.2210.4214.8911.3112.069.8311.86-----
-6.28-6.62-4.11-4.10-4.43-4.13-4.50-3.29-3.20-2.05-2.23-3.59-3.51-3.971.88-5.49-5.99-3.99-1.45-2.79-2.27-3.00-1.08-4.62-4.86-4.21-13.82-8.16-8.01-9.30-3.55-3.44-4,120.24-89.86-39.23-22.18-3.35-4.73-16.69-----
-5.10-5.38-3.37-3.40-3.49-3.30-3.62-2.69-2.63-1.69-1.73-2.80-2.77-3.151.50-3.74-4.19-2.83-1.04-2.01-1.65-2.18-0.79-2.88-3.07-2.72-5.86-3.44-3.53-4.31-1.74-1.74-5.23-5.19-4.34-3.44-0.61-1.94-1.73-----
6.086.974.985.553.593.474.153.253.371.712.774.344.836.04-3.034.595.744.291.833.513.284.361.734.925.515.116.743.884.285.532.372.453.493.683.152.710.502.241.26-----
9.9710.337.388.254.684.815.574.434.533.034.317.297.729.80-5.107.899.767.533.106.125.347.472.868.419.268.6511.305.956.438.443.653.724.805.344.453.910.703.481.88-----
-14.93-14.79-15.59-16.16-12.19-12.67-13.06-13.59-13.89-14.20-10.37-10.53-10.83-11.16-11.50-6.18-6.51-6.86-7.11-7.18-7.35-7.50-7.67-4.65-4.81-5.03-2.01-1.98-2.11-2.32-2.60-2.780.00-0.17-0.34-0.50-0.61-2.07-0.34-----
2.741.524.072.811.601.192.541.770.990.681.631.801.060.462.201.570.860.421.300.960.350.321.311.040.590.320.930.680.360.250.750.550.350.270.500.270.030.090.540.400.280.220.000.00
2.021.142.721.861.031.041.881.280.680.520.941.490.780.372.161.600.850.370.540.250.310.301.180.940.550.310.850.610.320.240.680.500.310.260.430.230.020.090.530.410.300.25--