Wolverine World Wide Financial Ratios for Analysis 2009-2024 | WWW

Fifteen years of historical annual and quarterly financial ratios and margins for Wolverine World Wide (WWW).

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
1.181.141.192.231.231.832.973.092.873.063.403.374.274.113.95
0.670.680.530.550.350.310.440.440.450.480.570.65-0.000.00
3.073.421.501.261.030.580.820.840.840.961.371.940.020.000.00
38.9039.8742.6541.0740.6341.1438.9138.4839.0739.3439.5638.2939.5139.4539.21
-3.04-7.766.45-7.657.5211.251.346.577.478.337.156.9312.0811.397.78
-3.04-7.766.45-7.657.5211.251.346.577.478.337.156.9312.0811.397.78
-1.48-6.477.82-5.828.9612.662.938.319.2810.269.238.6213.2112.699.38
-5.98-9.423.33-10.286.4210.16-0.454.436.126.574.755.7411.9911.477.78
-1.77-7.012.84-7.645.658.940.013.524.564.823.734.928.758.375.53
1.091.080.930.840.921.030.981.031.111.101.030.631.651.591.55
3.672.173.794.343.884.155.194.403.514.053.802.173.683.624.23
9.7211.117.566.686.876.208.669.479.018.836.764.646.416.366.72
37.5632.8648.3154.6853.1758.8842.1438.5340.5341.3454.0078.6656.9857.4354.28
-13.07-55.7810.40-24.1916.5620.20-0.078.9812.7114.2812.0012.5521.3119.2112.84
11.6638.80-9.5042.69-37.60-183.430.45-41.18-50.89-44.13-23.98-12.4423.6521.3914.54
-1.90-7.592.59-6.485.209.18-0.033.605.065.353.853.0914.4813.288.69
-4.33-17.814.87-10.7810.7014.01-0.044.996.997.475.214.3421.3119.1912.82
3.774.307.866.989.5910.819.9410.039.859.218.356.526.015.654.86
1.53-2.241.043.822.551.032.123.082.163.142.050.940.810.691.72
1.35-2.700.833.692.160.801.792.511.692.841.650.790.610.551.60

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
1.191.131.181.291.211.161.141.171.181.111.191.182.082.102.231.861.651.121.231.141.251.481.832.652.653.182.973.092.813.533.091.853.083.102.873.122.833.383.063.453.563.363.403.073.073.173.374.254.213.474.273.183.823.644.113.584.404.393.953.213.092.58
0.680.690.670.660.660.680.680.520.520.540.530.520.520.530.550.480.490.370.350.350.340.320.310.360.380.400.440.420.430.440.440.390.440.450.450.440.440.450.480.520.540.560.570.590.620.640.65-------0.000.000.000.000.000.000.000.00
3.013.293.073.023.033.433.422.191.851.781.501.601.111.151.261.151.391.671.031.180.950.840.580.620.650.700.820.790.800.820.841.010.810.890.840.790.820.870.961.141.251.351.371.491.681.871.940.040.040.120.020.100.030.050.000.000.000.000.000.020.080.22
43.0945.9436.6440.8238.6739.4233.7140.1843.0442.5041.2843.1642.7943.5340.1540.9742.1741.3837.8542.3640.5242.0739.1841.5541.3142.6738.3939.6937.8939.6936.6239.3138.8239.6136.2440.0239.1041.4037.1040.0440.0540.7637.1639.9141.0240.5836.6939.2537.7740.9536.9540.5739.3741.6537.0740.1340.1641.2739.2839.7437.3540.32
6.84-0.79-35.495.177.837.56-68.388.5023.533.19-1.376.6810.1011.38-40.058.642.153.85-0.8611.899.7610.019.3012.2412.0111.51-12.326.405.215.832.6011.437.165.891.8611.187.5510.073.6612.327.9910.152.4412.046.297.881.1713.117.2911.467.6115.6110.7614.958.0914.959.5513.526.9312.615.006.06
6.84-0.79-35.495.177.837.56-68.388.5023.533.19-1.376.6810.1011.38-40.058.642.153.85-0.8611.899.7610.019.3012.2412.0111.51-12.326.405.215.832.6011.437.165.891.8611.187.5510.073.6612.327.9910.152.4412.046.297.881.1713.117.2911.467.6115.6110.7614.958.0914.959.5513.526.9312.615.006.06
--------------------------------------------------------------
4.23-3.62-38.411.785.164.72-70.036.3122.031.95-2.94-0.118.558.95-43.706.17-0.432.21-1.9310.628.768.947.0611.4411.9410.28-13.984.663.673.59-1.089.925.644.431.059.545.848.731.6210.956.288.29-0.9910.244.075.84-1.2412.726.9711.037.4815.6010.4015.058.3615.019.4013.577.0512.724.746.07
3.34-3.67-17.321.634.073.17-54.385.6417.461.58-2.30-7.077.54-33.504.54-0.462.96-0.158.487.077.746.7810.539.758.74-10.423.993.462.82-0.267.984.113.011.546.754.026.351.467.974.485.91-0.167.593.054.54-0.529.266.469.675.9111.187.6010.667.0210.496.569.445.269.173.164.05
0.240.210.260.240.250.250.270.220.240.220.250.240.270.230.240.200.130.160.240.230.230.220.270.250.250.240.240.240.240.250.300.220.240.240.310.260.250.260.320.260.230.230.280.270.220.240.250.370.350.360.480.400.370.400.490.420.380.410.440.410.370.37
0.810.600.890.550.560.500.590.470.640.731.020.881.090.901.250.890.520.641.080.790.830.811.111.011.131.051.291.031.111.001.330.800.810.731.030.820.850.881.230.910.800.801.090.930.720.790.890.800.800.731.110.780.760.771.160.920.900.971.200.940.840.70
1.561.712.281.942.442.392.751.571.701.661.991.761.701.581.901.481.321.361.831.611.561.391.601.531.911.812.131.972.092.062.771.951.871.772.511.811.771.772.591.471.411.301.861.501.481.371.841.261.331.241.851.301.371.311.961.341.411.371.911.281.351.29
57.6252.6939.4446.3936.9037.7232.7157.2852.9754.2545.2551.2552.9857.0347.3860.6168.0166.2649.0755.9957.5764.5756.0958.6547.1849.7642.2045.6043.1543.7932.4846.1448.2050.8035.8149.6650.7550.9234.7961.2463.7169.4248.3760.1560.9265.5948.7971.5067.6972.7748.7069.2865.8068.5345.9267.0063.8765.6247.1670.1366.7969.96
5.77-5.27-30.202.486.655.23-106.435.7618.811.37-2.33-0.126.846.14-29.882.83-0.261.74-0.066.124.704.433.965.545.474.87-6.372.262.031.69-0.254.632.411.791.234.482.524.131.195.993.044.27-0.157.082.574.42-0.544.913.235.143.986.734.036.124.726.713.605.703.475.671.792.45
-4.313.6726.96-2.27-5.53-3.9274.03-6.71-19.82-1.172.130.11-17.95-14.1652.73-6.190.50-3.370.15-14.85-14.90-22.09-35.99-137.62-61.39-30.6438.95-13.30-11.52-8.871.13-29.83-11.71-7.71-4.92-23.57-10.91-15.31-3.69-20.32-7.94-9.670.31-10.86-3.14-4.890.545.383.565.684.427.424.466.785.257.534.066.423.936.442.042.80
0.87-0.74-4.390.401.040.74-14.471.224.220.31-0.58-0.031.931.69-8.010.87-0.070.46-0.021.971.651.731.802.602.412.11-2.530.940.820.70-0.101.750.980.730.491.780.991.650.452.121.031.39-0.052.040.681.13-0.133.462.283.442.714.522.884.323.264.452.514.002.353.791.181.52
1.84-1.63-10.000.832.251.69-33.972.778.960.62-1.09-0.063.272.88-13.321.47-0.131.10-0.043.973.123.002.753.543.402.94-3.581.301.160.95-0.142.841.350.990.682.511.422.280.632.881.391.89-0.072.910.981.60-0.194.913.235.143.986.734.036.124.716.713.605.693.465.661.782.45
3.383.253.774.564.614.344.308.568.417.597.867.797.907.546.989.348.999.089.599.7910.0310.3410.8111.2010.6810.109.9410.5610.4410.2710.0310.5010.089.849.859.989.699.419.219.518.948.608.357.647.026.726.523.416.446.246.016.226.045.915.655.224.894.874.864.764.494.35
-0.13-0.471.530.090.58-1.23-2.24-6.21-3.10-1.131.040.210.620.323.821.660.48-0.932.550.190.04-1.441.03-0.360.69-0.642.120.521.12-0.323.081.480.76-0.822.161.080.93-0.433.141.150.66-0.562.051.260.89-0.910.940.040.16-0.670.81-0.40-0.20-0.840.690.080.11-0.441.720.720.43-0.43
-0.23-0.531.35-0.140.40-1.33-2.70-6.51-3.30-1.220.830.090.540.293.691.590.40-0.982.16-0.15-0.16-1.530.80-0.520.60-0.681.790.220.91-0.442.511.120.46-0.921.690.800.78-0.492.840.930.53-0.621.651.000.77-0.940.790.000.11-0.700.61-0.54-0.29-0.890.55-0.020.05-0.461.600.650.38-0.46