Zurn Elkay Water Solutions Cor Financial Ratios for Analysis 2009-2024 | ZWS

Fifteen years of historical annual and quarterly financial ratios and margins for Zurn Elkay Water Solutions Cor (ZWS).

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
2023202220212020202020192018201720162015201420132012201120102009
3.022.621.98-2.782.482.202.942.912.602.532.052.171.972.51-
0.240.250.81-0.520.500.530.600.760.780.780.821.031.041.03-
0.310.334.27-1.121.011.121.523.273.513.514.97-30.00-26.24-38.53-
42.3536.3240.97-45.4338.2738.1636.5834.5836.4037.0336.8735.5035.3834.1531.45
12.518.3611.75-14.6614.9014.3911.879.069.9413.3912.5012.6212.9710.69-19.73
12.518.3611.75-14.6614.9014.3911.879.069.9413.3912.5012.6212.9710.69-19.73
18.2512.6120.25-26.8619.4719.3318.1615.1615.5118.7718.4018.8819.7618.68-13.29
9.596.545.75-3.3011.6410.106.274.475.300.743.232.31-3.787.85-26.62
7.364.8113.27-23.330.542.853.903.534.091.482.581.54-3.065.83-22.79
0.570.450.85-0.200.630.540.480.570.600.600.560.590.540.50-
3.182.232.91-1.224.003.773.453.853.553.563.763.923.813.63-
6.745.395.14-2.126.135.575.136.066.105.525.555.756.206.45-
54.1867.7771.00-17259.5065.4971.1560.2659.8266.0865.8163.4458.8656.59-
6.503.5339.32-1.4515.3517.048.5711.7216.614.4511.04-43.9460.20-153.22-
-71.57-33.20-16.20--3.64-32.58-34.77-11.37-6.12-7.42-2.12-3.63-1.933.04-5.01-
3.911.994.61-0.525.806.032.592.052.690.741.361.08-1.712.92-
4.972.667.53-0.707.668.053.432.773.721.001.981.52-2.504.09-
9.309.131.01-10.9711.7411.6410.335.805.435.564.41-1.21-1.32-3.58-
1.430.631.790.002.612.091.871.862.122.351.881.451.932.462.259.67
1.360.591.72-2.291.771.581.381.671.891.370.911.201.901.937.25

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-30
2.702.843.313.023.142.982.972.622.442.442.421.983.002.992.84-2.822.522.782.792.942.74-2.872.232.40-2.493.083.02-3.012.522.45-2.922.862.73-2.802.862.74-2.352.382.62-2.792.722.79-2.292.532.36----
0.240.240.230.240.250.260.260.250.250.700.730.810.420.430.44-0.460.460.520.460.490.50-0.530.540.53-0.510.580.59-0.610.740.75-0.770.780.78-0.770.770.77-0.820.830.82-0.830.840.85-1.031.031.03----
0.310.310.310.310.340.350.350.330.332.342.784.270.720.750.80-0.860.901.120.840.950.99-1.111.171.13-1.061.391.45-1.612.822.99-3.403.553.58-3.453.313.45-4.564.914.49-5.035.235.69--32.89-32.08-29.78----
46.2045.2245.5143.6942.6543.0339.9932.1533.6140.0442.5336.6841.7142.5943.08-39.1239.3939.5838.9939.9439.66-38.0038.7238.82-38.9538.2537.03-33.8635.4435.06-34.4034.8435.00-36.5137.1035.39-37.0537.2835.76-35.5937.3636.20-33.8535.5435.05-34.5635.2934.81
17.1217.4514.239.1915.0913.5911.745.82-2.4218.8218.325.6814.1515.3111.70-14.6714.7016.09100.0016.9815.78-100.0015.5114.32-100.0015.0112.91-100.0010.698.18-100.0011.4210.97-100.0014.8211.30-100.0014.1111.99-100.0013.2311.14-100.0013.6213.23-100.0013.2412.67
17.1217.4514.239.1915.0913.5911.745.82-2.4218.8218.325.6814.1515.3111.70-14.6714.7016.09-16.9815.78--15.5114.32--15.0112.91--10.698.18--11.4210.97--14.8211.30--14.1111.99--13.2311.14--13.6213.23--13.2412.67
----------------------------------------------------------
14.7315.0011.505.9711.9711.438.524.17-4.1916.7816.44-4.699.4911.007.16-12.4611.806.4412.5714.6012.43-12.5211.9510.96-7.9910.788.64-0.315.912.76-4.986.716.43-1.6910.246.57-8.40-16.663.11-3.245.83-0.79-0.620.853.72-0.817.25-28.19
10.6111.179.183.9010.398.586.134.17-4.5712.8112.60-28.5827.9130.0424.37-9.207.935.219.299.748.01-4.04-8.27-1.29-17.365.294.67-0.385.014.01-5.304.654.39-0.447.012.40-5.87-10.172.71-1.953.84-0.45-1.151.002.35-0.245.31-18.88
0.150.150.140.130.140.140.130.120.140.240.210.220.060.070.06-0.140.130.150.150.160.15-0.150.160.15-0.130.130.12-0.130.150.14-0.140.150.15-0.150.160.15-0.150.160.16-0.140.150.15-0.150.150.16----
0.790.820.710.720.800.730.640.630.690.700.610.800.350.390.34-0.840.781.040.860.910.87-0.890.960.92-0.760.800.81-0.880.890.86-0.840.860.85-0.830.890.86-0.810.910.96-0.850.900.94-0.980.991.06----
1.661.711.621.571.671.631.601.431.421.361.201.310.670.730.66-1.701.651.631.671.731.65-1.671.551.63-1.391.361.42-1.511.511.54-1.671.581.52-1.571.541.48-1.531.461.47-1.591.521.57-1.621.681.62----
54.3152.6055.5057.3153.7455.0956.4062.9463.2666.1974.9468.65134124137-52.9354.5355.0753.8751.9754.43-53.9858.0555.26-64.5366.1463.50-59.7059.4458.26-54.0257.0959.09-57.2558.2760.64-58.8861.7161.43-56.4659.0857.29-55.4953.6255.53----
2.742.842.110.842.182.071.410.64-1.1815.8715.182.370.981.300.67-3.252.642.183.544.293.80-4.484.043.57-6.852.862.63--3.813.10--4.153.92-1.186.382.03---12.983.08-2.684.97-0.19--7.52-5.88-15.03----
-36.74-36.83-28.91-9.27-23.51-17.44-12.14-6.0012.30-18.38-12.34-0.98-7.12-6.94-2.53--10.63-7.53-5.47-11.11-11.61-8.91--8.85-7.22-6.91--12.87-4.71-3.87---1.97-1.46---1.87-1.72--0.57-3.31-0.98--3.94-1.06--0.86-1.530.05--0.30-0.24-0.64----
1.611.691.280.511.251.170.800.36-0.653.092.630.280.440.570.29-1.331.060.791.481.711.47-1.641.391.27-2.560.920.82--0.740.58--0.680.64-0.201.120.35---1.650.41-0.330.59-0.02-0.170.140.38----
2.092.171.610.641.631.541.050.48-0.894.784.050.450.570.740.37-1.751.431.061.922.211.91-2.121.861.68-3.331.201.08--1.000.78--0.920.86-0.271.500.46---2.230.57-0.450.80-0.03-0.240.190.52----
9.349.329.349.309.349.199.139.139.111.821.541.0113.5613.1112.47-11.6311.2210.9711.2312.4712.08-11.2610.9311.31-12.0711.2210.76-9.806.285.94-5.645.435.39-5.575.835.65-4.434.144.54-4.374.233.91--4.56-4.45-4.59----
1.330.790.311.431.110.520.030.630.07-0.09-0.421.791.971.170.580.001.941.411.001.410.700.150.001.180.610.150.001.000.570.350.001.170.560.190.001.460.650.080.001.590.750.060.000.920.09-0.270.000.490.09-0.400.000.840.50-0.530.004.523.291.32
1.260.750.291.361.020.460.000.590.05-0.10-0.421.721.911.160.51-1.761.220.881.230.610.12-0.990.490.08-0.840.440.29-0.770.310.08-1.250.530.01-1.340.55-0.02-0.61-0.10-0.35-0.14-0.19-0.51-0.380.27-0.64-3.352.621.04