Sonic Automotive Financial Ratios for Analysis 2009-2024 | SAH

Fifteen years of historical annual and quarterly financial ratios and margins for Sonic Automotive (SAH).

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
1.101.201.101.030.981.021.031.051.091.071.091.061.031.081.08
0.680.680.600.470.420.530.550.540.520.520.540.540.510.540.60
4.053.602.802.592.423.013.233.323.203.033.263.432.713.053.63
15.6316.5515.4414.5814.5514.5314.7714.6914.7014.8514.7214.7615.4116.1817.05
2.952.244.340.352.941.792.142.392.262.542.652.872.922.802.40
2.952.244.340.352.941.792.142.392.262.542.652.872.922.802.40
3.863.095.131.273.832.763.083.233.013.213.313.513.623.533.46
1.681.363.70-0.361.910.761.101.591.511.761.461.691.771.260.46
1.240.632.81-0.531.380.520.940.960.901.060.921.051.001.350.52
2.682.812.492.612.572.622.582.672.702.902.903.013.222.922.93
7.689.608.316.695.895.565.565.295.135.975.886.057.376.106.32
27.2230.2830.9126.2824.1622.7120.4722.6225.4324.7224.9724.2324.2727.4525.99
13.4112.0511.8113.8915.1116.0717.8316.1414.3614.7614.6215.0715.0413.3014.04
19.989.8932.41-6.2215.296.3611.9713.0312.0814.7813.8017.3315.6021.2715.50
80.7433.08194-9.4535.7121.4950.5154.7949.8692.051715,070-370.61-119.15-31.49
3.321.787.01-1.353.551.382.472.602.473.112.783.293.494.392.76
6.453.1712.82-3.328.933.015.386.045.837.076.308.027.709.786.21
26.2624.7126.4319.4821.9019.2518.2116.2114.6013.0911.649.899.938.807.07
-0.4410.237.076.613.913.353.674.711.373.062.39-1.122.353.887.23
-5.895.260.494.491.28-0.01-1.600.25-2.010.55-0.57-2.68-0.062.606.56

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.101.091.101.121.151.121.201.021.101.101.101.031.051.001.031.010.991.060.981.041.031.031.021.031.031.041.031.061.031.051.051.061.071.071.091.101.101.081.071.131.141.131.091.081.101.051.061.111.051.051.031.021.071.061.081.071.081.071.081.131.061.04
0.670.680.680.690.680.690.680.600.580.590.600.410.420.460.470.480.490.540.420.490.500.510.530.540.540.570.550.580.550.550.540.550.560.550.520.530.530.530.520.540.540.550.540.560.560.530.540.520.480.500.510.530.550.560.540.570.590.600.600.610.750.72
4.204.044.053.923.864.013.602.552.562.602.801.671.952.432.592.522.703.482.422.652.772.823.012.983.093.303.233.313.413.313.323.263.443.403.203.053.112.963.032.873.043.133.263.243.483.233.432.832.722.692.712.632.733.053.053.353.584.153.633.616.747.13
15.6115.8515.0915.9815.5715.8516.0516.8416.7916.5316.6615.3615.2414.3913.9014.7814.5515.1914.3314.3114.5915.0314.4014.5914.4614.6814.4014.4714.9915.3114.5414.0414.8315.4514.7314.4414.6714.9814.8214.5014.7415.4014.6314.5414.7015.0314.3514.3114.7415.7614.7415.2315.7215.8015.4215.9216.4017.2216.2516.8317.3017.95
3.123.152.833.772.143.05-4.014.324.424.475.014.084.933.153.783.782.54-9.613.362.412.413.652.281.952.020.842.892.231.751.593.231.992.391.892.822.521.781.862.662.422.702.372.562.582.842.642.972.722.922.892.562.833.042.662.762.642.812.381.243.152.712.46
3.123.152.833.772.143.05-4.014.324.424.475.014.084.933.153.783.782.54-9.613.362.412.413.652.281.952.020.842.892.231.751.593.231.992.391.892.822.521.781.862.662.422.702.372.562.582.842.642.972.722.922.892.562.833.042.662.762.642.812.381.243.152.712.46
--------------------------------------------------------------
1.611.701.522.500.891.82-5.083.383.633.733.843.654.502.613.233.171.77-10.542.221.501.412.571.210.921.01-0.162.021.350.840.012.431.221.601.062.091.811.021.061.911.681.911.511.741.730.651.712.080.941.911.821.511.701.891.441.541.260.940.75-1.502.250.430.57
1.191.241.081.880.641.37-5.322.532.702.823.032.753.391.942.052.351.46-8.641.681.071.021.770.850.610.67-0.092.320.780.50-0.021.470.710.960.651.261.060.610.621.121.051.140.901.191.030.401.021.330.471.331.060.991.011.100.823.490.730.490.270.920.960.000.12
0.590.630.670.720.720.680.720.710.700.690.640.880.920.750.750.730.590.580.680.660.630.580.680.670.680.630.700.690.660.630.700.750.680.650.690.760.740.720.740.790.770.710.760.770.770.780.790.850.860.800.890.870.870.780.820.850.820.680.750.810.710.62
1.491.671.932.132.132.012.482.402.352.412.103.062.801.941.931.911.531.221.551.521.471.331.441.431.401.321.511.541.261.211.391.451.281.191.321.501.441.481.531.671.541.421.541.561.501.551.591.761.751.652.052.001.901.641.731.721.661.541.632.061.571.41
7.838.056.798.449.129.317.779.5610.149.837.9411.059.397.467.538.886.5411.496.357.407.186.435.877.047.206.535.536.108.307.705.948.557.608.046.538.337.857.096.328.718.027.036.548.257.457.426.348.848.037.566.689.639.788.447.7010.638.887.306.649.998.096.69
11.5011.1913.2610.669.879.6611.599.418.889.1511.348.149.5812.0611.9510.1313.757.8314.1712.1512.5314.0015.3212.7812.4913.7916.2614.7610.8411.6915.1410.5311.8511.2013.7910.8111.4712.6914.2410.3311.2212.8013.7710.9112.0812.1414.2010.1811.2011.9113.479.359.2010.6711.698.4710.1312.3413.569.0111.1213.45
4.364.644.347.982.675.58-21.327.898.108.578.978.4212.056.507.057.754.16-27.584.893.233.054.972.671.902.18-0.267.902.731.730.005.252.773.412.174.323.912.202.144.043.764.143.184.824.231.584.015.472.205.163.883.903.984.643.2814.163.522.501.757.895.751.621.99
15.0618.0117.5434.8110.7924.96-71.3655.6136.4843.2653.6712.2617.419.8910.7111.946.56-44.2611.428.318.2514.089.026.908.36-1.1933.3316.767.60-0.0122.0514.3818.7512.6617.8319.5511.5512.8125.1825.3126.4331.3459.7716030.181291,60046.61131427-92.60-49.02-45.32-22.75-79.33-9.18-5.77-3.72-16.03-15.28-1.36-2.25
0.710.780.721.350.460.93-3.831.811.891.941.942.423.121.451.531.710.86-5.011.140.710.651.020.580.410.46-0.051.630.550.340.001.050.550.660.420.880.820.460.460.850.820.880.660.970.850.300.811.040.491.170.880.870.911.020.682.920.670.460.291.411.010.170.20
1.441.491.402.480.841.72-6.833.143.393.503.544.976.933.513.764.042.12-12.562.861.631.522.441.260.871.00-0.113.551.130.770.002.431.241.510.982.091.821.031.011.931.741.911.442.201.870.691.872.531.062.671.941.921.892.101.466.511.511.030.703.162.230.410.56
27.6926.6926.2625.3124.7424.2124.7130.2629.8027.9926.4324.3822.6920.0219.4818.3417.3216.8421.9020.9220.3119.7819.2518.8018.4318.0218.2116.7416.2716.0616.2115.2814.8514.4314.6013.8813.5113.2213.0912.7012.4311.9211.6411.0610.4710.229.899.8910.5710.279.939.599.369.048.807.527.297.137.076.735.315.41
-1.902.01-0.442.93-0.53-0.9210.2316.467.566.047.076.15-0.802.086.616.125.23-1.113.91-0.58-1.32-2.203.353.620.891.283.674.292.071.774.715.332.322.211.372.591.060.863.062.961.010.272.393.410.571.68-1.120.60-0.75-0.612.382.551.860.283.863.623.113.317.237.016.384.14
-3.770.88-5.89-1.24-2.48-1.805.2611.825.334.800.492.10-3.200.544.494.543.81-1.571.28-2.02-2.45-2.89-0.010.81-1.14-0.20-1.600.15-0.630.090.251.93-0.031.35-2.010.11-0.54-0.040.551.370.17-0.09-0.571.02-1.110.56-2.68-0.35-1.29-0.79-0.060.490.15-1.092.592.962.803.176.566.465.753.64