Skip to content

Build-A-Bear Workshop BBW Ratios & Valuation

FY'26FY'25FY'24FY'23
Profitability
Gross margin55.8%+0.9pp54.9%+0.5pp54.4%+1.8pp52.5%-0.4pp
Net margin9.9%-0.6pp10.4%-0.4pp10.9%+0.6pp10.3%-1.2pp
Returns
Return on equity35.5%-3.0pp38.5%-4.0pp42.6%-2.7pp45.3%-13.5pp
Return on invested capital22.8%-5.0pp27.8%-4.5pp32.3%+2.5pp29.8%-1.4pp
Efficiency
Asset turnover1.7×-0.1×1.8×0.0×1.8×0.0×1.7×+0.2×
Liquidity
Current ratio1.5×0.0×1.6×+0.1×1.5×+0.1×1.5×+0.1×
Leverage
Debt-to-equity0.8×+0.1×0.7×+0.1×0.6×-0.1×0.7×-0.3×
Net debt / EBITDA1.2×+0.4×0.8×+0.4×0.5×-0.1×0.6×-0.4×
Per Share
Book value per share$11.85+16.0%$10.21+14.0%$8.96+15.5%$7.76+33.5%
Valuation
Market capitalization$401.2M-42.5%$569.05M+76.6%$322.31M-11.0%$362.27M+24.4%
Price / earnings7.3×-5.3×11×+4.9×6.1×-1.4×7.5×+1.4×
Price / sales0.8×-0.6×1.1×+0.5×0.7×-0.1×0.8×+0.1×
Price / book2.5×-2.2×4.1×+1.6×2.5×-0.6×3.1×0.0×
EV / EBITDA5.7×-2.9×7.7×+3.2×4.5×-1.0×5.5×-0.2×
Dividend yield2.9%+1.3pp1.9%

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

Where do Build-A-Bear Workshop's ratios come from?
Every ratio is computed from Build-A-Bear Workshop's SEC filings — trailing-twelve-month flows over period-end balances. Valuation multiples combine those fundamentals with market data, recomputed each period. Switch between quarterly, annual, and TTM, or open any ratio for its full history and peer comparisons.