Oshkosh Financial Ratios for Analysis 2011-2026 | OSK

Fifteen years of historical annual and quarterly financial ratios and margins for Oshkosh (OSK).

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
202420232022202120212020201920182017201620152014201320122011
1.521.451.872.002.052.231.961.931.811.771.631.821.851.581.45
0.130.140.160.200.200.220.240.250.260.290.310.310.300.340.39
0.230.210.190.260.250.290.320.330.360.430.490.450.450.520.66
18.3517.4012.7316.3916.3916.2818.1017.6317.2916.8117.0417.3715.5512.3714.48
9.428.674.507.657.657.079.518.516.895.806.547.396.604.766.98
9.428.674.507.657.657.079.518.516.895.806.547.396.604.766.98
11.7610.335.899.009.008.5910.8810.088.797.858.589.268.376.378.96
8.428.263.337.057.056.358.967.726.024.895.356.345.813.805.86
6.356.192.106.586.584.696.916.124.183.453.764.534.122.833.62
1.141.061.071.131.121.181.511.461.341.391.341.481.611.651.56
3.873.743.874.175.103.815.505.174.715.333.895.857.887.618.19
5.524.534.684.654.514.955.145.065.236.146.326.989.657.996.92
66.0780.5178.0078.5280.9773.8171.0672.0869.8159.4057.7452.2737.8245.6752.73
16.4116.145.4615.8815.6711.2822.2918.7712.3810.9512.0115.5815.0113.2918.23
34.6941.0010.3130.0929.4322.5949.4545.5436.3151.5975.6710389.83556-102.61
7.236.552.257.437.385.5310.418.915.604.795.046.746.644.986.03
14.3413.904.6012.6512.518.7616.9514.169.177.728.3310.8110.558.7711.12
64.2756.5948.6647.9647.7541.8338.2434.7330.7626.7425.3324.8624.3620.2417.48
8.369.109.0917.6517.654.768.055.823.257.841.161.994.922.924.24
4.094.165.0216.1416.233.435.804.642.426.68-0.500.684.332.353.53

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
2025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
1.981.841.771.521.461.441.431.451.451.811.801.871.811.731.762.00-2.102.092.19-2.121.962.14-1.991.861.99-1.881.811.86-1.721.621.79-1.641.581.65-1.741.721.83-1.951.891.92-1.831.651.65-1.551.561.57-1.46
0.200.200.210.130.130.130.140.140.140.150.150.160.170.170.170.20-0.200.210.22-0.230.230.23-0.240.250.25-0.250.260.26-0.270.290.29-0.300.310.32-0.300.310.31-0.280.300.30-0.310.330.34-0.350.370.38-0.39
0.270.340.350.230.370.420.320.210.310.180.180.190.210.210.200.26-0.250.270.28-0.300.310.31-0.320.330.34-0.340.350.36-0.380.410.42-0.500.530.55-0.450.470.47-0.410.430.46-0.480.510.53-0.550.580.62-0.68
17.5019.2017.2917.2218.4619.1818.4818.4218.6517.5914.7214.2913.9611.9610.4718.4013.5017.4116.6815.39-16.2916.2717.08-18.1317.9818.20-18.5517.8115.32-18.9916.1516.49-18.0017.0114.60-17.6117.7516.97-17.9517.3616.67-17.4915.2914.06-12.7111.8411.81-13.45
9.6910.687.588.629.719.1610.218.7310.229.735.776.675.673.691.639.095.059.237.45100.00-7.507.44100.00-10.778.82100.00-10.268.29100.00-10.404.97100.00-8.406.00100.00-8.477.06100.00-9.027.12100.00-10.236.78100.00-5.844.08100.00-6.23
9.6910.687.588.629.719.1610.218.7310.229.735.776.675.673.691.639.095.059.237.45--7.507.44--10.778.82--10.268.29--10.404.97--8.406.00--8.477.06--9.027.12--10.236.78--5.844.08--6.23
----------------------------------------------------------
8.879.926.527.668.698.059.317.919.629.605.714.794.812.391.098.274.358.727.025.26-6.865.965.72-10.288.308.20-9.067.803.82-9.754.171.95-7.574.941.29-7.685.333.75-8.355.575.17-9.416.053.81-4.983.302.66-5.20
7.307.504.855.896.585.927.056.117.327.253.903.413.241.55-0.016.704.359.685.274.41-5.073.824.47-8.026.466.04-7.055.873.56-6.312.741.58-4.823.681.17-5.583.512.56-5.424.243.57-6.704.362.64-3.501.812.07-3.38
0.270.270.240.280.280.290.270.270.280.300.290.290.300.300.280.23-0.330.300.26-0.270.310.31-0.440.360.36-0.410.360.32-0.400.320.27-0.360.320.28-0.340.340.31-0.400.360.34-0.470.410.38-0.440.430.41-0.43
0.900.880.760.950.961.040.940.941.011.051.011.011.061.151.140.83-1.431.130.89-0.770.910.98-1.441.091.14-1.421.171.10-1.170.930.84-1.140.920.83-0.981.071.01-1.711.521.55-2.071.581.42-2.092.142.17-2.16
1.241.231.141.341.131.101.081.161.101.171.211.251.101.031.110.95-1.231.411.28-1.201.301.16-1.361.361.27-1.391.291.29-1.721.711.73-1.461.461.59-1.591.561.69-1.871.702.21-2.362.052.71-1.701.852.02-2.06
72.6273.0279.1067.2979.8181.8683.5577.7281.8776.7074.6872.2981.5887.1281.2795.02-73.4063.7270.25-74.8369.1277.28-66.3966.1370.62-64.8369.5369.75-52.2452.5651.93-61.7261.7656.70-56.4957.5553.17-48.1752.9040.79-38.1344.0133.24-52.8648.6744.61-43.73
4.324.602.653.694.404.304.694.075.185.152.732.362.311.12-0.013.30-6.633.30--2.902.55--7.395.14--6.344.72--5.902.18--4.332.99--4.502.881.82-4.733.38--7.424.552.59-4.412.582.41-4.21
8.369.115.497.799.729.5211.1910.3414.4110.235.594.454.782.35-0.016.25-12.576.71--5.965.41--16.6612.27--16.4213.21--19.678.70--22.3519.47--23.9119.7514.31-20.8618.76--64.5582.36-356.15--105.33-27.00-17.41--23.34
1.992.041.151.621.831.731.891.652.072.181.120.970.960.470.001.54-3.191.57--1.391.17--3.522.35--2.912.13--2.530.89--1.761.18--1.901.200.80-2.181.53--3.141.761.01-1.560.910.86-1.45
3.483.692.103.223.833.734.053.504.444.382.301.991.920.92-0.012.63-5.292.60--2.241.96--5.623.87--4.743.50--4.301.55--3.022.06--3.151.981.25-3.392.39--5.113.061.70-2.851.631.49-2.57
71.4868.4365.6664.2763.0560.2458.4356.5954.1952.0249.6748.6644.2244.0144.9047.96-46.9443.9942.91-40.6639.5039.28-37.7535.7634.43-32.9731.7930.73-29.1227.1926.56-26.4825.6224.71-25.5124.2724.34-26.1324.9624.13-22.9821.4620.47-19.0718.4617.87-17.89
2.84-4.72-6.078.36-3.67-8.60-5.389.101.82-0.711.219.092.10-0.354.9517.6512.356.454.725.350.000.530.94-2.170.001.502.16-1.190.002.950.580.380.001.631.951.110.002.201.300.980.00-0.46-0.90-0.660.000.81-0.640.050.002.800.500.500.000.810.510.670.003.04
0.70-5.97-6.694.09-6.71-10.72-6.894.16-1.64-2.69-0.485.02-0.33-2.024.5816.1411.225.904.525.05--0.250.42-2.35-0.201.27-1.42-2.220.100.16-1.251.520.82-1.400.800.74--1.65-1.81-1.28-0.05-1.16-0.22-2.450.260.43-0.490.310.52-2.57