HF Sinclair Financial Ratios for Analysis 2009-2024 | DINO

Fifteen years of historical annual and quarterly financial ratios and margins for HF Sinclair (DINO).

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
202320222021202020192018201720162015201420132012201120102009
2.222.081.822.411.962.822.152.631.682.262.332.702.071.231.25
0.210.230.330.350.270.270.300.300.150.150.130.170.170.390.37
0.270.330.490.550.380.370.420.420.180.170.150.200.210.630.59
19.3319.7015.3518.1120.4121.3019.5316.8022.6512.8313.7321.1517.8711.4812.33
6.8910.614.07-6.567.309.176.32-0.979.402.616.1814.3611.223.161.66
6.8910.614.07-6.567.309.176.32-0.979.402.616.1814.3611.223.161.66
9.3012.336.812.9711.0911.649.338.6812.014.457.6915.5612.254.573.72
6.7310.304.28-6.686.708.616.10-1.639.132.375.7513.8810.632.310.91
4.937.573.00-5.394.416.185.65-2.485.571.423.648.566.611.250.40
1.802.111.420.971.441.611.331.121.582.142.001.951.612.251.54
8.829.547.347.809.4410.297.047.7212.1616.6412.8412.0011.3818.4013.96
17.9421.7513.7315.5019.7625.1018.6319.2437.6132.8524.6428.3319.397.976.04
20.3416.7826.5823.5418.4814.5419.5918.979.7011.1114.8112.8818.8245.7960.44
16.7130.3610.54-9.0013.4018.2314.94-3.6013.815.3511.6226.5018.1610.333.01
27.2150.2119.81-18.6225.2031.1227.43-6.4924.959.1118.7242.5631.7211.923.53
9.6616.785.13-4.477.1710.718.24-2.029.573.547.6317.0411.073.591.16
13.1823.457.08-5.819.7313.2710.50-2.5311.724.5610.0922.0615.036.341.90
51.1950.8338.6235.2340.2237.5333.2429.9032.2331.1133.2432.6327.8812.0911.38
12.0918.652.502.839.258.805.373.455.223.844.328.108.432.642.09
10.1516.08-1.850.807.507.063.840.731.741.072.256.476.070.65-0.90

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.812.122.172.222.132.322.102.082.111.891.731.822.132.062.112.412.682.101.921.962.072.081.992.822.502.382.252.152.001.881.902.632.102.021.691.682.112.032.322.262.182.152.182.332.332.372.702.702.232.371.952.071.841.301.221.231.161.301.251.251.201.191.06
0.190.210.210.210.210.220.230.230.250.250.280.330.330.340.350.350.350.300.290.270.270.270.270.270.270.270.280.300.290.300.300.300.240.240.190.150.140.130.150.150.140.130.130.130.130.130.160.170.170.180.180.170.180.350.380.390.340.400.410.370.370.360.30
0.270.260.260.270.300.300.320.330.340.340.380.490.490.510.540.550.540.420.410.380.370.370.370.370.370.370.390.420.410.430.430.420.320.320.230.180.160.150.170.170.160.150.150.150.150.140.190.200.210.220.230.210.220.540.610.630.640.660.710.590.580.560.49
14.5513.9615.6615.5222.1219.9119.3119.6120.9823.1312.8311.8218.4016.4215.5213.4415.6823.5620.7917.6023.0822.5317.9125.2921.3519.5818.9220.2422.3420.3914.2613.6817.7517.1819.5016.8925.9922.0025.1211.5413.0112.9913.6210.239.7115.8919.4420.8725.0923.4015.1014.3622.8817.5314.7010.1213.5813.878.036.6812.9715.0521.04
-1.682.515.85-1.0112.038.996.669.2112.5314.933.12-0.366.357.303.94-3.66-0.97-9.21-12.072.959.656.949.995.0110.5511.349.599.1412.063.49-1.093.714.38-15.494.14-1.939.0015.9312.93-8.275.695.525.661.812.818.6811.6713.0818.8016.928.517.5016.8011.136.842.085.156.16-1.21-3.043.733.625.83
-1.682.515.85-1.0112.038.996.669.2112.5314.933.12-0.366.357.303.94-3.66-0.97-9.21-12.072.959.656.949.995.0110.5511.349.599.1412.063.49-1.093.714.38-15.494.14-1.939.0015.9312.93-8.275.695.525.661.812.818.6811.6713.0818.8016.928.517.5016.8011.136.842.085.156.16-1.21-3.043.733.625.83
---------------------------------------------------------------
-1.822.265.72-0.9511.908.696.419.0512.0814.662.77-0.777.636.954.41-4.760.99-8.79-13.392.299.066.409.344.4210.0310.749.069.3011.993.07-1.772.823.86-15.863.25-2.208.9415.6712.39-8.445.475.335.251.552.587.8811.2512.6718.4516.407.867.0816.1610.586.021.324.355.23-2.13-3.792.932.825.23
-1.061.924.45-0.818.806.424.636.468.9210.842.12-0.705.923.644.17-4.12-0.09-8.56-8.961.365.924.126.493.187.187.736.4913.057.311.67-1.481.772.62-15.081.05-1.575.489.757.55-5.193.283.283.171.281.544.857.067.5511.4810.224.904.4210.116.483.640.672.453.08-1.50-2.441.581.413.39
0.430.450.390.430.470.430.420.500.580.580.420.440.360.360.290.250.240.190.300.360.360.400.320.400.420.400.380.370.370.360.320.310.330.310.230.350.400.400.320.460.520.510.460.480.510.500.440.500.500.510.500.520.520.710.580.600.620.650.550.530.550.400.32
2.292.141.892.212.211.931.772.252.442.371.972.342.032.251.832.142.091.342.852.452.082.261.922.402.011.982.101.952.032.312.002.252.152.201.822.912.562.432.023.662.933.112.603.203.112.872.583.092.622.813.113.823.154.944.194.974.364.394.095.114.343.333.14
5.244.573.794.304.504.504.565.115.774.873.294.204.944.594.154.024.533.075.914.955.125.543.616.165.535.304.785.225.215.734.475.406.495.114.358.366.865.835.717.127.356.726.845.906.426.366.787.266.696.895.966.253.862.962.022.122.812.812.052.082.401.702.09
17.1819.6923.7820.9319.9920.0219.7617.6015.6018.5027.3421.4418.2019.5921.6822.3819.8529.2815.2318.1817.5616.2624.9314.6216.2716.9718.8417.2517.2915.7120.1216.6813.8617.6220.6710.7613.1115.4215.7712.6412.2413.3913.1615.2614.0214.1513.2812.4013.4413.0615.0914.4123.3430.4444.6542.4932.0631.9943.8843.3537.5653.0542.99
-0.771.543.08-0.337.775.093.836.2410.0012.692.09-0.274.783.223.13-1.650.40-2.54-4.801.254.563.324.192.535.525.674.699.455.261.41-0.721.331.68-7.550.77-0.413.416.053.91-3.452.862.782.471.061.313.854.966.029.608.454.274.049.3812.946.651.884.695.95-2.00-2.972.881.942.32
-1.292.555.01-0.5412.358.186.3310.3216.7721.183.70-0.518.926.306.32-3.420.82-5.21-9.482.348.426.168.074.329.359.708.3017.3510.312.86-1.472.393.06-13.831.44-0.745.8110.196.58-5.874.634.453.961.702.086.067.789.6715.8414.607.507.0616.4714.647.682.175.446.96-2.36-3.493.272.212.67
-0.440.881.77-0.194.372.942.143.455.376.531.04-0.132.351.551.53-0.820.20-1.36-2.610.672.441.792.281.493.153.222.655.212.840.77-0.400.751.02-4.530.50-0.292.324.082.62-2.281.841.771.580.690.852.533.213.875.905.352.522.465.354.852.280.661.752.21-0.69-1.141.120.761.10
-0.621.222.44-0.266.123.992.974.827.469.481.51-0.183.222.132.04-1.070.26-1.79-3.410.903.322.423.061.844.044.133.386.643.740.99-0.510.931.27-5.710.62-0.352.945.263.33-2.942.472.412.140.921.143.374.185.017.926.943.493.357.718.424.131.163.103.59-1.17-1.871.831.241.62
51.4052.1852.1251.1958.6454.5552.2650.8348.4944.7839.7738.6238.9537.1735.9435.2336.2736.5337.7540.2240.4139.3738.6237.5337.6236.3234.8333.2430.8329.5729.4529.9029.5729.4531.9732.2333.4132.7131.8431.1133.4433.5833.4533.2434.0834.4934.0832.6331.2429.2127.8627.8827.0514.6012.8312.0911.8911.4710.9411.3810.4210.229.49
6.592.831.5912.0911.143.470.9118.6513.488.922.632.504.553.020.382.832.411.911.179.258.555.681.268.806.394.101.885.374.452.69-0.223.452.521.760.045.224.822.981.273.844.083.641.994.324.022.241.228.105.762.081.218.435.174.271.222.642.200.36-0.852.091.781.41-0.02
5.031.941.1510.159.822.540.4116.0811.537.511.74-1.851.831.01-0.540.801.111.110.667.507.374.980.897.065.203.261.483.843.361.91-0.560.730.320.12-0.811.742.381.330.381.072.292.401.362.252.621.420.886.474.741.460.926.073.872.810.530.651.01-0.36-1.14-0.90-0.66-0.42-1.01