MetaCap

MillerKnoll Financial Ratios

NASDAQ: MLKNConsumer DiscretionaryOffice Equipment/Supplies/ServicesUSD

20.88+0.11 (+0.53%)

At close: Oct 9, 4:00 PM ET · Delayed 15 min

MillerKnoll ratio analysis

MillerKnoll earned a net margin of 2.4% in FY 2026, up from -1.0% a year earlier. Gross margin was 38.8% compared with a median of 36.7% over the prior 9 years. Return on equity reached 6.8%, meaning MillerKnoll generated 0.07 dollars of profit for every dollar of shareholders' equity.

Debt-to-equity stood at 0.96 versus 1.04 the year before, and the current ratio was 1.58. At the end of FY 2026, MLKN traded at 12.3 times earnings; across the 7 fiscal years shown, its year-end P/E ranged from 12.3 to 25.9, with a median of 16.0. Valuation ratios use the closing share price on each fiscal year-end date and diluted shares from the income statement; profitability and leverage ratios use reported annual figures. Current valuation multiples are on the statistics page.

Summary generated from market data by MetaCap's automated system. Methodology

MillerKnoll financial ratios (annual)

MillerKnoll annual financial ratios
RatioFY 2026FY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018FY 2017
P/E ratio (at fiscal year end)12.26—24.8525.89—16.26—13.1415.5015.95
Price / sales0.290.320.560.260.571.140.550.820.820.86
Price / book0.830.911.460.751.573.272.082.912.953.33
Gross margin38.8%38.8%39.1%35.0%34.3%38.6%36.6%36.2%36.7%37.9%
Operating margin5.2%1.4%4.6%3.0%1.0%9.4%-1.5%7.9%7.5%8.4%
Net margin2.4%-1.0%2.3%1.0%-0.7%7.1%-0.3%6.3%5.4%5.4%
Free cash flow margin2.0%2.8%7.5%1.9%-2.7%11.1%6.1%5.1%4.0%5.0%
Return on equity (ROE)6.8%-2.9%5.9%2.9%-1.9%20.3%-1.3%22.3%19.3%21.1%
Return on assets (ROA)2.3%-0.9%2.0%1.0%-0.6%8.4%-0.4%10.2%8.7%9.5%
Debt / equity0.961.040.960.980.990.320.910.400.430.36
Current ratio1.581.581.531.671.501.901.951.481.561.28
Revenue growth4.7%1.1%-11.2%3.6%60.1%-0.9%-3.1%7.8%4.5%0.6%
EPS growth—-148.6%101.8%—-112.6%—-105.6%27.4%3.4%-9.3%

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