Piper Sandler Financial Ratios for Analysis 2009-2024 | PIPR

Fifteen years of historical annual and quarterly financial ratios and margins for Piper Sandler (PIPR).

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
1.221.251.301.291.811.511.351.351.401.401.401.411.351.191.66
-0.090.090.170.18-0.140.180.170.110.120.14--0.13
0.140.150.210.370.510.311.101.111.091.391.311.280.931.130.75
98.5298.5899.1998.4798.7898.9299.0198.9898.8498.8298.4398.3597.9397.6497.45
11.1911.6623.858.6117.3513.1710.11-4.0612.8417.0214.4014.11-18.5611.2112.08
11.1911.6623.858.6117.3513.1710.11-4.0612.8417.0214.4014.11-18.5611.2112.08
14.7614.4926.4213.3720.2016.4127.5611.9115.6820.0818.2119.8914.8315.8915.26
9.099.4321.745.5414.269.789.63-4.1312.8417.0214.4014.11-18.5611.2112.08
6.347.7613.713.2712.857.70-7.88-2.947.148.977.737.23-23.613.946.48
0.630.650.790.620.510.550.410.350.310.250.230.230.260.240.28
---------------
6.364.747.995.592.953.155.663.053.563.803.793.022.902.071.40
57.4176.9345.6765.2912411664.4311910396.1196.43121126176260
7.628.0726.935.3311.707.453.44-1.687.027.676.266.27-11.902.653.91
11.2312.3837.568.9913.448.454.01-2.3610.0110.228.748.97-17.674.975.06
4.624.6412.882.475.804.051.26-0.652.732.832.382.37-5.391.061.79
7.627.3424.444.409.627.452.94-1.395.806.795.485.41-11.902.653.39
85.4991.7286.8367.2258.8056.2157.4165.8762.5763.5161.3351.9447.6655.8349.80
16.00-13.2641.7052.334.8637.9715.64-0.2526.38-3.332.80-13.5613.10-1.71-7.24
15.42-15.0640.4951.154.4036.8015.03-1.1125.97-3.822.44-13.7012.61-2.47-7.47

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
1.291.481.381.221.331.311.411.251.311.341.481.301.161.371.481.291.271.241.381.811.501.471.551.511.681.621.541.351.481.401.381.351.321.321.331.401.321.411.331.401.381.421.441.401.341.471.451.411.261.241.331.351.241.201.431.191.311.351.321.661.541.711.76
----0.090.090.090.090.090.100.100.09-0.140.150.170.190.190.180.18----0.140.150.150.140.140.130.180.180.170.170.170.170.130.120.110.110.120.120.120.120.130.130.130.14------0.13-0.130.130.130.13---
0.100.090.120.140.220.210.180.150.190.210.260.210.280.340.300.370.490.540.530.510.350.270.310.310.570.740.861.100.710.951.081.111.051.111.111.091.171.211.611.391.371.091.231.311.561.321.401.281.111.291.160.931.181.311.131.131.171.191.390.750.500.430.30
98.5798.6798.5898.8798.3298.3298.3598.6998.4598.3398.8599.3099.1899.1799.0299.0698.7998.5396.9798.7198.1299.4199.0199.1399.0198.7598.7298.7599.1299.0399.1099.1299.0098.8898.8599.0798.6898.8098.7798.6198.8198.9598.9199.0698.3697.7598.0498.5098.6198.0698.1497.3397.7698.3398.0297.9897.5397.4197.6197.8597.5197.5696.56
17.1510.0817.1419.891.117.5810.6813.478.1112.9111.7427.7219.4624.1422.2319.4412.576.36-12.3222.1813.6616.0415.2718.6717.226.817.7464.82-33.6510.4911.81-26.399.193.822.2411.394.5415.7619.3314.2716.1217.8919.4622.429.403.3416.5916.1719.285.4913.42-145.055.3512.909.2415.5411.419.218.3514.3413.0213.924.23
17.1510.0817.1419.891.117.5810.6813.478.1112.9111.7427.7219.4624.1422.2319.4412.576.36-12.3222.1813.6616.0415.2718.6717.226.817.7464.82-33.6510.4911.81-26.399.193.822.2411.394.5415.7619.3314.2716.1217.8919.4622.429.403.3416.5916.1719.285.4913.42-145.055.3512.909.2415.5411.419.218.3514.3413.0213.924.23
---------------------------------------------------------------
15.478.3315.2818.19-1.194.988.6610.915.7010.5510.1626.0516.9922.4219.3317.388.122.53-14.4119.3210.4812.1412.6715.6113.493.014.7564.33-34.1810.0511.37-26.659.193.822.2411.394.5415.7619.3314.2716.1217.8919.4622.429.403.3416.5916.1719.285.4913.42-145.055.3512.909.2415.5411.419.218.3514.3413.0213.924.23
9.6810.2512.3911.031.341.378.609.744.386.0710.4517.5110.2613.7311.5410.393.820.50-6.2412.9021.545.899.7712.639.413.403.81-23.17-20.965.838.39-15.394.270.931.386.132.979.579.777.838.509.839.5713.083.762.278.197.1912.815.712.19-143.68-3.746.594.585.864.654.470.3712.076.337.16-3.25
0.180.180.190.220.150.150.170.180.160.180.190.250.200.240.240.200.170.170.160.170.150.140.160.150.140.110.110.090.140.100.090.100.090.080.070.090.070.070.060.060.060.070.070.080.050.040.050.070.070.050.060.050.040.060.060.060.060.060.050.080.080.100.07
---------------------------------------------------------------
3.642.891.942.230.861.352.351.301.411.711.932.551.971.581.581.832.001.5113.920.991.141.753.880.871.180.743.651.272.970.900.920.910.781.120.711.040.400.800.710.880.500.760.671.350.470.530.490.870.700.500.450.530.500.440.430.540.510.420.470.400.660.610.79
24.7631.1446.2840.4410566.5538.3369.1563.6852.7046.5535.2845.6057.0257.0549.1145.0259.496.4691.3778.6251.4723.1810476.0712224.6570.8230.2699.6097.7498.9711580.6112686.2422611312710217911813466.57192170183103128181200170181206209165175217193226137148114
2.971.123.744.97-1.121.162.703.030.902.362.1310.244.698.096.625.392.210.33-2.804.961.882.912.652.552.790.591.445.15-6.461.792.82-4.091.420.550.371.820.631.712.211.441.812.192.503.601.070.191.461.941.971.531.01-14.870.431.290.890.860.840.890.061.581.191.49-0.36
4.291.615.457.33-1.721.764.144.651.313.473.1514.286.8712.2110.569.103.900.63-4.955.702.183.293.052.893.210.681.685.99-7.482.463.92-5.732.300.900.612.590.892.282.921.922.442.983.425.031.520.272.012.782.902.311.52-22.080.762.301.641.621.591.670.112.051.521.92-0.46
1.990.782.723.02-0.700.751.851.740.531.421.314.902.384.113.732.501.040.16-1.472.461.071.751.621.381.400.290.671.88-2.920.771.10-1.570.540.210.150.710.230.680.750.530.660.840.991.370.370.070.540.740.770.570.41-6.740.180.500.380.350.330.360.020.720.630.85-0.22
2.971.123.744.97-1.021.062.452.760.812.131.929.294.696.965.624.451.800.27-2.294.081.882.912.652.552.390.501.234.40-5.571.562.33-3.371.180.450.311.500.541.511.961.281.601.932.203.160.930.171.271.681.971.531.01-14.870.431.290.780.860.730.780.051.371.191.49-0.36
85.4384.3284.7185.4980.5983.4683.5791.7287.3285.3881.4586.8378.9375.2168.7367.2262.4258.9557.7558.8055.5852.9652.9956.2155.9155.2955.2757.4160.9964.8464.2965.8768.3566.5864.2962.5759.7068.5965.8163.5162.5762.0061.4861.3359.5056.8753.8651.9450.6048.8146.3547.6654.7254.3752.7355.8354.7353.7152.2549.8048.9448.3047.31
8.413.93-11.2716.00-8.54-10.22-11.75-13.26-23.05-26.61-28.0041.7012.880.66-16.0152.3335.8725.8616.494.861.293.152.1137.9726.6821.7810.9415.6432.4412.4612.68-0.253.504.74-5.6426.3820.81-0.01-11.42-3.332.096.57-3.202.80-20.53-7.88-11.76-13.56-13.27-17.92-12.7913.10-6.95-5.231.67-1.710.41-0.95-14.27-7.243.50-0.553.75
8.013.67-11.3415.42-9.02-10.50-11.86-15.06-24.52-27.46-28.2740.4911.94-0.21-16.5751.1535.1925.4016.324.400.942.932.0036.8025.7721.3110.8315.0332.1112.2312.54-1.112.904.41-5.7425.9720.50-0.26-11.55-3.821.746.42-3.252.44-20.75-7.95-11.77-13.70-13.29-18.03-12.9112.61-7.37-5.511.53-2.47-0.19-1.13-14.33-7.473.35-0.653.72