Zumiez Financial Ratios for Analysis 2009-2024 | ZUMZ

Fifteen years of historical annual and quarterly financial ratios and margins for Zumiez (ZUMZ).

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
2.272.332.432.742.583.512.812.872.883.353.753.554.564.424.374.59
----------0.010.02----
----------0.010.02----
32.0833.8838.5835.3335.4534.3333.4132.8833.4035.3736.1436.0536.2835.0532.6832.92
-7.403.2513.339.798.306.245.264.755.748.8210.0610.2410.847.803.126.02
-7.403.2513.339.798.306.245.264.755.748.8210.0610.2410.847.803.126.02
-4.805.5015.2712.2110.769.038.208.099.5212.4113.7313.6714.3911.558.5410.79
-7.073.3913.5610.348.806.375.224.815.708.839.9410.5011.108.113.446.53
-7.152.1910.087.696.474.622.893.103.585.326.346.306.725.052.244.21
1.321.281.370.991.131.831.861.961.941.641.631.641.531.591.571.75
4.624.705.654.774.944.974.915.255.455.595.315.525.455.525.395.27
63.5346.4982.0659.8361.4155.0554.4766.7062.6364.1470.3770.7188.4678.1372.7989.72
5.757.854.456.105.946.636.705.475.835.695.195.164.134.675.014.07
-17.735.1625.4713.7914.3511.297.538.449.6912.0113.6913.9013.7210.674.749.67
-19.356.2530.1216.0416.9613.859.7010.9612.4614.8618.1319.3114.4111.335.0910.44
-9.432.8113.847.647.328.465.376.076.948.7510.3610.3110.318.023.517.37
-17.735.1625.4713.7914.3511.297.538.449.6912.0113.5313.6313.7210.674.749.67
17.8120.9022.0721.5918.0515.6914.1012.3111.5512.2211.3310.088.747.356.376.03
0.76-0.025.495.454.152.592.631.951.783.072.212.122.191.571.481.29
-0.29-1.344.855.093.421.761.671.130.521.851.020.801.370.630.950.34

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
1.812.042.271.901.972.092.332.011.961.962.432.512.912.932.742.342.272.392.582.202.062.283.512.372.412.932.812.192.252.362.871.972.052.392.882.472.433.343.352.562.382.903.752.852.683.253.552.652.484.234.563.503.254.134.423.222.753.514.373.232.913.784.59
---------------------------------------0.010.010.010.01---0.02----------------
------------------------0.020.01-0.03---0.04-------0.010.010.010.01---0.02----------------
34.1629.2634.2933.8431.7226.9934.0134.5134.1232.8038.6339.6139.0736.9739.1039.0536.2817.2339.0335.8233.7931.2137.4134.9233.1330.3437.2033.9231.1028.7335.6634.4130.7628.8834.7534.2932.1331.8337.8236.5034.4731.0138.7437.0334.9232.3138.1837.2634.3732.4138.8938.9233.0331.3637.9238.7131.2228.6235.1635.4328.9428.5132.37
-0.19-11.36-11.63-0.07-5.40-11.685.434.392.250.2314.9213.7611.8912.2816.2313.9713.22-20.2114.869.215.110.4512.387.393.06-0.8311.997.65-0.40-3.4410.597.64-0.64-2.288.877.452.952.3212.1011.716.572.2817.7710.824.962.7116.0911.892.805.5917.0314.823.162.4115.3713.97-2.42-3.659.857.38-6.14-4.486.92
-0.19-11.36-11.63-0.07-5.40-11.685.434.392.250.2314.9213.7611.8912.2816.2313.9713.22-20.2114.869.215.110.4512.387.393.06-0.8311.997.65-0.40-3.4410.597.64-0.64-2.288.877.452.952.3212.1011.716.572.2817.7710.824.962.7116.0911.892.805.5917.0314.823.162.4115.3713.97-2.42-3.659.857.38-6.14-4.486.92
---------------------------------------------------------------
0.26-11.05-11.11-0.11-4.78-11.505.774.052.520.5314.7214.2312.2012.7216.9214.2913.70-19.3615.339.695.700.9312.567.563.28-0.9212.047.57-0.36-3.6410.667.63-0.77-1.978.667.462.892.5011.9211.676.762.4417.5410.604.952.7616.1511.923.575.9817.1115.023.552.9515.5714.26-2.02-3.2210.187.53-5.78-4.017.24
-0.40-9.46-11.88-1.03-4.38-10.054.082.921.39-0.1811.0210.618.939.4512.9110.7510.14-15.3211.527.263.950.379.725.562.00-1.266.474.85-0.32-2.466.904.83-0.47-1.245.424.721.791.566.777.374.221.5311.846.203.001.6810.207.041.543.4910.199.182.311.789.619.06-1.24-2.136.654.48-3.62-2.165.02
0.310.270.420.290.260.250.370.320.290.290.400.300.260.270.330.280.270.160.360.300.260.260.570.450.410.420.620.500.410.400.620.490.410.410.580.460.390.350.520.430.360.360.510.410.350.360.550.410.320.340.510.430.330.340.520.450.330.330.510.430.330.320.54
0.870.851.440.810.850.901.370.880.961.051.651.001.101.291.501.031.260.841.480.921.001.081.470.870.981.121.541.030.931.051.590.960.941.091.611.011.001.161.711.020.971.151.590.950.911.111.791.030.891.251.731.000.891.151.721.000.851.091.690.960.871.021.63
9.0913.2220.459.408.138.8513.5911.999.099.3524.0313.0910.8213.6320.0214.0410.098.1819.5215.7310.5714.1217.1314.2010.6511.1718.1015.5911.7712.9521.0315.5212.2313.0718.8813.3411.4912.3320.4414.5710.6414.2022.0414.8810.1214.1923.7015.1711.2510.8029.2617.668.929.4625.4819.828.609.1023.6514.379.599.8527.54
9.906.814.409.5811.0710.166.627.519.909.633.756.878.326.614.496.418.9211.004.615.728.526.385.256.348.458.064.975.777.656.954.285.807.366.894.776.757.847.304.406.188.466.344.086.058.896.343.805.938.008.333.085.1010.099.513.534.5410.479.893.816.269.399.143.27
-0.26-4.97-9.48-0.59-2.21-4.692.811.820.81-0.118.165.774.044.547.745.845.40-4.898.134.492.230.207.393.751.23-0.745.603.65-0.19-1.465.923.70-0.30-0.744.433.221.050.764.874.572.240.778.003.651.530.837.544.220.741.616.885.621.100.826.625.90-0.62-0.984.572.78-1.76-0.933.54
-0.29-5.45-10.35-0.72-2.71-5.743.402.200.99-0.139.656.724.635.239.016.876.44-5.869.605.412.720.259.074.691.56-0.957.224.74-0.25-1.907.694.91-0.39-0.975.694.141.350.936.035.862.961.0410.594.892.081.1410.485.791.031.697.235.931.160.867.036.30-0.67-1.054.902.99-1.90-1.013.82
-0.13-2.56-5.04-0.30-1.14-2.481.530.920.40-0.054.433.142.332.594.292.992.71-2.454.142.141.020.105.542.480.83-0.533.992.40-0.13-0.994.262.36-0.19-0.513.172.190.700.553.553.151.500.556.062.551.050.605.592.890.501.195.173.950.750.604.974.10-0.41-0.703.381.91-1.18-0.682.70
-0.26-4.97-9.48-0.59-2.21-4.692.811.820.81-0.118.165.774.044.547.745.845.40-4.898.134.492.230.207.393.751.23-0.745.603.65-0.19-1.465.923.70-0.30-0.744.433.221.050.764.874.532.220.767.903.651.530.837.404.220.741.616.885.621.100.826.625.90-0.62-0.984.572.78-1.76-0.933.54
16.5216.6017.8119.1319.4619.8120.9019.5319.4319.3722.0722.8023.2522.5721.5919.6018.4716.9518.0516.5415.6915.3015.6914.4413.9113.8414.1012.9312.4712.1312.3111.6211.2411.4211.5511.2311.1512.3412.2211.7811.3911.1711.3310.7410.239.9910.089.589.018.958.748.097.617.467.356.806.356.356.376.045.825.896.03
-0.80-0.950.76-1.19-1.26-0.67-0.02-1.89-1.25-1.255.492.922.031.055.453.242.47-0.704.151.151.380.392.590.680.61-0.162.630.560.150.191.950.160.260.111.780.020.030.063.071.181.050.572.210.720.330.152.120.900.460.182.190.810.360.121.570.480.150.091.480.570.460.311.29
-1.12-1.09-0.29-2.02-1.87-0.95-1.34-2.81-1.79-1.444.852.561.820.945.092.942.27-0.803.420.611.060.261.760.060.25-0.301.67-0.21-0.35-0.101.13-0.52-0.22-0.070.52-1.00-0.67-0.241.850.190.420.341.02-0.18-0.15-0.070.80-0.19-0.23-0.091.370.220.040.040.63-0.29-0.54-0.430.950.060.080.070.34