Enpro Financial Ratios for Analysis 2011-2026 | NPO

Fifteen years of historical annual and quarterly financial ratios and margins for Enpro (NPO).

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
202520242023202220212020201920182017201620152014201320122011
2.322.593.313.242.082.872.392.513.061.731.862.181.091.731.70
-0.300.310.360.430.310.410.350.410.660.580.470.300.440.43
-0.450.460.570.890.460.710.540.692.081.440.990.750.810.80
42.6442.4140.2938.5139.0435.6933.4932.8534.9933.3232.8434.1833.3233.7934.28
14.1313.577.256.577.783.644.696.736.37-0.213.125.207.559.089.20
-13.577.256.577.783.644.696.736.37-0.213.125.207.559.089.20
-23.1321.9121.8815.3710.7110.3311.9211.694.607.959.9212.5014.3514.15
-9.003.562.577.85-2.940.361.1949.57-5.78-1.542.673.135.365.88
3.546.952.1018.6621.1722.203.181.5449.01-3.38-1.741.802.393.464.00
-0.420.420.420.280.380.590.740.580.770.800.760.820.860.88
-4.354.444.453.773.705.104.913.514.514.535.035.125.996.45
-9.059.088.025.804.156.365.972.945.535.675.945.936.335.66
-40.3440.2145.5362.9887.9757.3761.1112465.9564.4061.4361.6057.7064.48
2.625.100.490.284.51-1.950.88-0.5557.37-11.19-4.553.534.597.498.95
--28.27-5.22-1.45-10.0221.67-11.94-1.97236202-28.4411.6615.4639.3545.47
1.522.930.280.151.93-1.010.38-0.2727.46-2.59-1.391.371.962.993.53
-3.550.340.182.56-1.340.52-0.3634.05-3.76-1.921.863.214.235.08
-68.0067.4267.0261.2652.5242.6741.3542.2316.7821.0426.0228.5226.4324.02
-7.729.925.085.972.056.2910.181.612.993.841.252.975.473.79
-6.168.293.655.251.405.259.920.251.162.00-0.781.283.582.19

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
2025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
2.322.442.492.952.592.762.722.593.313.264.033.583.242.571.911.772.083.192.982.952.873.363.022.782.392.272.522.612.512.742.643.453.062.270.920.921.731.031.041.021.862.062.122.072.182.301.571.371.091.111.121.111.731.952.082.041.701.851.22
-0.230.240.300.300.300.310.320.310.310.350.350.360.410.410.420.430.300.300.310.310.310.310.310.410.430.330.350.350.350.360.400.410.390.570.560.660.550.540.500.580.570.570.530.470.450.300.320.300.340.360.360.440.460.480.440.430.430.30
-0.290.310.440.450.440.460.480.460.460.550.550.570.700.780.860.890.430.440.450.460.460.460.460.710.760.490.540.540.540.560.670.690.652.242.242.082.052.001.821.441.421.411.200.990.920.580.680.750.850.890.890.810.880.980.810.800.800.74
42.0841.9443.3243.2742.3042.2843.7741.2438.6639.7341.4641.0838.8039.5640.5335.0634.0939.9139.1839.1766035.2233.4033.7134.2432.6834.2132.8443.3231.9729.4233.9241.4833.4934.0134.3831.9633.6934.4533.1032.0033.0733.9532.3633.4735.1034.5333.6031.1433.3735.7132.8332.6233.8734.1434.4132.7632.1837.66
11.2414.2715.8615.3012.4613.0717.6510.878.2312.72-7.0115.50-14.0516.0315.818.03-32.7711.2510.689.74715-2.800.737.25-3.426.399.685.48-10.1211.395.618.68-2.145.328.949.365.408.649.29-24.556.718.12-6.804.11-1.809.127.706.066.036.6310.077.227.209.878.7510.344.729.8410.58
-14.2715.8615.3012.4613.0717.6510.878.2312.72-7.0115.50-14.0516.0315.818.03-32.7711.2510.689.74715-2.800.737.25-3.426.399.685.48-10.1211.395.618.68-2.145.328.949.365.408.649.29-24.556.718.12-6.804.11-1.809.127.706.066.036.6310.077.227.209.878.7510.344.729.8410.58
-----------------------------------------------------------
-11.2012.3211.827.629.2013.395.553.739.13-10.3312.07-20.7812.8212.095.70-47.3517.9810.058.34-570.00-10.66-0.576.33-7.78-3.117.983.50-38.876.313.516.72-9.921573.643.18-1.503.424.05-29.542.553.98-11.19-2.021.804.333.670.801.962.614.413.383.375.975.016.930.817.516.94
-10.837.549.168.975.387.599.824.85-1.973.31-6.7213.2346.719.6012.416.2219513.309.816.44-745.00-7.34-2.6377.360.98-0.507.534.32-21.946.232.523.4222.161432.932.16-1.012.051.15-15.872.053.72-12.50-0.581.202.842.650.451.892.032.623.002.043.873.384.430.964.724.63
-0.120.120.110.100.100.110.100.100.100.110.110.100.100.100.090.020.100.140.130.000.130.120.140.140.140.180.170.070.220.230.200.080.190.190.190.190.190.200.190.210.200.200.180.200.190.210.200.200.190.220.210.200.210.220.240.220.240.22
-1.181.141.141.071.051.061.031.071.041.061.061.101.130.981.070.260.851.221.23-0.081.391.081.221.200.890.830.820.401.141.261.130.441.081.081.061.111.091.131.091.231.151.161.111.321.241.251.191.271.341.471.461.441.461.541.581.621.681.45
-2.052.041.892.231.942.001.922.132.102.021.891.981.851.491.380.361.011.371.320.011.641.571.511.510.921.010.930.581.191.200.880.411.391.311.331.341.311.351.371.511.371.411.321.541.391.331.331.431.361.471.401.491.361.351.491.391.501.39
-43.8144.0247.5040.3746.5045.0846.8442.1642.9044.5047.5845.3848.6560.3165.4424789.0165.8367.968,67654.8157.3259.5659.5398.0189.2696.5115575.7074.7910221964.8668.5567.5267.3268.4566.5865.7159.4165.6464.0068.0458.3764.9367.5867.5963.0866.2061.2864.1260.3266.1566.7960.4764.7660.1164.57
-2.071.421.761.680.971.361.870.88-0.320.58-1.611.81-4.382.112.040.97-1.112.112.611.67-0.62-2.00-0.300.95-0.92-0.961.890.90-5.992.701.141.401.3656.572.411.77-0.811.560.93-11.521.442.36-7.76-0.300.611.291.160.200.871.011.491.571.042.091.972.660.532.712.33
--17.82-16.21-11.70-5.39-7.75-8.74-3.653.40-5.5814.13-12.1022.76-5.79-4.91-2.122.47184-82.25-24.266.91-13.61-2.106.8512.568.166.493.19-21.579.504.525.695.60291-30.72-54.7014.57-142.86-83.72-190.248.9812.81-45.10-1.742.013.252.740.542.934.297.327.625.4712.4215.3411.322.6711.026.85
-1.200.901.110.980.560.781.060.49-0.180.33-0.870.97-2.310.990.920.42-0.471.121.370.87-0.32-1.05-0.160.50-0.40-0.410.960.45-3.001.390.580.680.6526.610.560.42-0.190.380.23-3.010.440.74-2.51-0.110.240.540.570.090.370.390.570.620.420.820.751.080.211.151.01
-1.101.351.180.680.951.280.60-0.220.40-1.041.18-2.821.251.210.56-0.631.481.821.15-0.43-1.37-0.200.65-0.54-0.541.270.58-3.891.760.730.840.8134.351.040.77-0.270.710.43-5.700.611.01-3.33-0.140.320.700.810.140.610.670.961.010.591.141.021.500.301.541.62
-72.2171.0869.4768.0069.4568.2067.4867.4267.3467.6668.7467.0260.9561.3060.6461.2655.3654.2752.4852.5251.9152.8552.2542.6742.5542.5541.9141.3542.8941.7042.5542.2340.6317.5116.9516.7817.9518.0318.6821.0422.0321.8923.2626.0227.8729.9028.9628.5226.5325.8826.3626.4326.0724.9925.1724.0225.4925.52
-6.503.450.997.724.912.350.309.927.373.761.265.085.343.031.315.973.742.810.982.052.361.630.016.294.421.62-0.0610.187.585.19-0.931.612.951.28-0.902.990.36-0.14-1.303.841.45-0.11-0.901.25-0.38-0.53-1.002.971.570.24-0.805.472.620.250.163.791.510.58
-4.922.490.556.163.921.68-0.098.296.373.181.023.654.852.701.175.253.222.320.681.401.791.20-0.245.253.691.13-0.269.926.675.11-1.630.251.770.51-1.451.16-0.91-1.02-1.632.000.23-0.93-1.33-0.78-1.43-1.26-1.371.280.40-0.66-1.393.581.50-0.38-0.122.190.720.05