WD-40 Financial Ratios for Analysis 2011-2026 | WDFC

Fifteen years of historical annual and quarterly financial ratios and margins for WD-40 (WDFC).

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
2.792.472.802.252.813.081.981.962.983.574.281.421.631.862.64
0.240.270.340.360.360.410.290.290.490.460.41----
0.320.410.570.780.580.710.560.561.100.870.680.580.350.240.05
55.0653.3851.0449.1054.0354.5954.8855.1456.2156.3152.9451.9251.3349.1549.97
16.7416.3216.7016.8318.2018.9019.4619.2419.9518.7417.2916.6415.3715.0916.09
16.7416.3216.7016.8318.2018.9019.4619.2419.9518.7417.2916.6415.3715.0916.09
18.3318.1218.2718.4319.6420.7921.2521.1521.7320.4419.0018.1716.8216.5117.39
16.3915.5015.8516.2117.7218.4919.0818.4019.6119.1216.6916.4415.4314.8515.91
14.6311.7512.2312.9314.3314.7913.1315.8613.8313.7411.7811.3610.7510.3110.79
1.301.321.231.191.131.131.401.291.031.121.111.101.141.141.20
3.493.483.042.544.024.504.705.024.715.235.555.265.535.859.56
5.145.035.485.775.455.065.815.925.925.896.446.026.486.185.77
70.9972.6266.6163.2766.9772.0862.8261.6761.6462.0256.7160.6356.3359.0963.28
33.9330.2131.4035.6935.0537.8738.4341.9437.9737.4928.3825.8222.1819.1318.11
53.9754.7059.9976.6472.2010914214119220611687.0766.3856.8148.04
19.1215.5115.0715.5016.3216.7418.4720.5714.3215.4913.2112.5812.3211.7913.02
25.6822.0020.6322.7622.2722.2027.1829.8819.3620.0616.8525.8222.1819.1318.11
19.8217.0115.5013.8714.6211.7310.6011.239.979.8810.9211.4811.7411.8112.29
6.486.787.230.196.175.304.544.643.934.543.762.563.302.131.77
6.186.526.78-0.375.123.923.613.792.544.263.392.313.131.971.61

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
2026-02-282025-11-302025-08-312025-05-312025-02-282024-11-302024-08-312024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-31
2.832.972.792.842.402.442.472.362.272.402.802.622.262.252.252.512.812.882.813.053.093.093.081.811.661.841.981.902.072.191.961.753.643.902.983.083.183.043.574.013.984.284.284.391.341.351.421.521.561.731.631.681.781.831.861.851.861.922.64
-0.240.240.250.260.270.270.280.280.290.340.350.350.360.360.360.360.360.360.370.380.400.410.390.290.300.290.290.290.290.290.360.500.510.490.500.510.490.460.440.450.430.410.41---------------
-0.340.320.370.480.480.410.490.530.510.570.660.790.790.780.650.580.570.580.580.630.660.711.140.700.620.560.630.570.520.561.131.081.131.101.151.141.050.870.780.840.770.680.690.640.610.580.470.410.340.350.350.270.240.240.240.210.180.05
55.6356.2354.7156.1554.5654.7854.0753.1452.4453.8151.3550.6450.7551.4547.3847.7050.4050.8151.2253.1255.4156.4056.2754.0053.5854.3354.5954.4655.4255.1255.1954.8155.0755.5356.0255.2956.4357.1957.4256.8355.3855.5654.3353.2852.6451.5852.7451.3751.5651.9952.9951.3250.8950.1049.4049.5149.0248.6648.17
16.2615.0617.1417.4415.9316.3715.4217.5315.0517.2216.5418.1017.0214.9614.9815.3519.0417.8610.8220.0318.4622.7921.9620.1718.1814.9221.6120.3519.4616.1919.2620.8619.1317.5620.6321.0019.5418.5118.1519.3618.9418.5317.1717.7018.1116.1817.0215.7916.1917.5512.1716.0716.6516.6516.0015.1017.1112.1316.65
-15.0617.1417.4415.9316.3715.4217.5315.0517.2216.5418.1017.0214.9614.9815.3519.0417.8610.8220.0318.4622.7921.9620.1718.1814.9221.6120.3519.4616.1919.2620.8619.1317.5620.6321.0019.5418.5118.1519.3618.9418.5317.1717.7018.1116.1817.0215.7916.1917.5512.1716.0716.6516.6516.0015.1017.1112.1316.65
-----------------------------------------------------------
-14.6316.8017.5015.3615.8014.6116.6714.2416.4315.8217.2016.0314.1814.0114.8018.7717.179.8519.7318.0622.5022.1719.4217.3814.5021.0419.8419.3115.9118.6219.9017.9916.9620.2320.6619.0718.3719.8718.2720.0918.2317.1616.9716.5316.1216.9815.6415.8817.2412.0215.8817.2916.6415.8014.7917.1011.6916.49
12.5711.3012.8313.3720.4312.3310.6412.8011.1712.4011.6113.3312.6911.2111.1911.7115.0113.727.1215.3515.3618.9717.3514.7814.3212.377.7315.9115.7013.1120.6715.0714.6312.9414.7914.6212.7313.0914.5613.0414.3612.9612.6711.7811.5711.1311.7610.8210.8911.968.6610.9712.0011.4410.5310.4512.267.9611.18
-0.340.340.340.320.340.350.350.310.330.320.320.290.280.300.290.310.320.270.320.280.320.310.250.300.310.350.360.330.340.320.280.260.260.260.270.280.270.290.280.270.260.270.280.290.290.280.280.280.290.290.290.280.310.280.290.290.300.32
-0.800.930.890.820.930.910.950.850.790.790.730.590.510.660.670.850.981.011.341.121.301.181.051.081.031.191.211.021.161.261.291.141.171.201.201.111.121.301.251.171.161.311.301.331.381.321.241.341.361.351.341.271.551.441.711.691.902.67
-1.371.361.401.321.381.331.331.331.481.431.411.301.431.451.341.251.411.291.301.201.371.381.291.321.411.471.501.351.451.491.511.381.521.501.511.461.601.501.511.341.601.571.491.361.551.531.541.491.691.641.631.511.671.531.641.441.721.56
-65.5466.3964.4768.2465.3467.7967.5967.8060.9762.8263.8669.4362.9062.0667.4171.7263.8169.9469.2275.2665.8065.0369.9868.2163.9861.4360.0066.8262.0760.5259.4265.1859.0759.8959.7561.6256.3259.9259.7867.4156.2157.4860.5466.1858.0758.6558.4160.2453.2054.7755.0759.6453.9658.8654.9062.4052.2857.85
7.556.617.928.1612.338.367.288.937.188.107.899.188.387.317.847.429.819.354.2010.379.1613.5412.2710.029.688.355.9011.8210.208.7413.9210.869.608.6910.3110.759.549.1510.148.419.327.847.437.037.066.746.815.915.816.154.545.665.675.904.844.975.673.735.06
-10.6112.6013.3020.8314.8513.1816.7313.3215.0715.0717.9117.0615.4316.8315.4520.1919.368.6521.2320.5733.5035.1535.6133.3930.2621.7438.9633.1330.4046.6841.8634.3237.3252.1666.1274.5779.7055.6937.1645.8134.0030.4630.6328.6228.2422.9718.5718.0817.0613.5717.0716.6717.3714.3715.1116.9211.8013.43
4.293.804.464.606.514.233.744.473.514.063.784.313.673.173.403.374.614.401.954.914.236.115.423.764.303.842.845.795.134.516.824.173.763.323.894.043.533.524.193.623.963.453.463.273.363.263.323.103.123.532.523.203.353.562.983.083.542.383.64
-4.995.996.129.146.095.306.455.145.795.186.005.414.685.004.746.265.962.676.585.658.177.196.066.855.894.178.457.256.199.916.974.824.235.265.384.694.695.424.715.164.444.414.157.066.746.815.915.816.154.545.665.675.904.844.975.673.735.06
-19.5519.8218.9917.8716.7017.0116.4015.9615.9315.5015.1714.5314.0813.8714.3214.5614.4714.6214.7813.6812.7511.7310.6110.8010.6510.6011.1511.2810.9911.2310.7011.0810.409.979.589.209.099.8810.5710.2210.6810.9210.7711.0010.9311.4811.7911.8112.2211.7411.7811.8611.9011.8111.6611.7411.3912.29
-0.746.484.271.691.106.784.773.311.987.234.091.540.770.190.560.30-0.076.174.653.101.755.302.971.701.114.542.621.240.654.642.981.510.903.932.471.161.104.543.080.711.013.762.420.920.642.561.470.940.443.302.321.420.992.131.650.940.791.77
-0.686.184.061.561.066.524.563.181.936.783.781.300.67-0.370.070.04-0.245.123.902.561.483.921.730.940.693.612.010.890.563.792.240.870.832.541.410.270.294.262.860.570.983.392.170.740.542.311.290.820.373.132.201.350.961.971.530.860.801.61