Saia Financial Ratios for Analysis 2009-2024 | SAIA

Fifteen years of historical annual and quarterly financial ratios and margins for Saia (SAIA).

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
2.011.941.300.990.961.021.221.151.121.301.211.021.151.451.31
0.000.010.020.050.130.130.170.110.120.170.190.130.190.260.31
0.010.020.040.070.170.180.230.150.160.230.250.240.330.440.44
72.1568.6872.4075.8273.6972.8673.2574.5272.8267.4366.7065.1763.0565.1469.16
15.9816.8514.649.898.548.546.746.337.376.746.535.352.731.34-0.43
15.9816.8514.649.898.548.546.746.337.376.746.535.352.731.34-0.43
22.1922.4820.8317.2815.2114.7112.9412.4312.6911.3711.069.716.355.354.20
16.1816.7614.549.678.218.216.395.997.046.385.984.651.720.21-1.84
12.3212.8011.067.596.366.356.493.844.504.093.832.921.100.22-0.93
1.121.281.241.181.261.461.451.561.671.911.852.112.172.001.82
---------------
9.218.908.278.408.749.028.088.808.738.678.6710.079.309.038.88
39.6241.0244.1443.4641.7640.4845.2041.4741.8342.0942.1236.2439.2440.4441.09
18.2822.6320.7514.3913.9515.0915.649.9412.8614.1714.3112.595.190.95-4.46
18.4422.8921.0814.7014.3315.5916.3210.4913.7214.4914.7413.075.220.96-4.51
13.7416.4413.728.938.039.269.426.007.547.797.076.172.390.43-1.94
18.2222.4020.2413.6712.2013.1112.998.8911.3611.7911.6510.934.210.70-3.09
73.1359.6846.3436.6431.4327.0822.8019.0817.0214.7512.4510.579.178.658.52
21.5917.7314.3311.6310.329.756.055.705.734.014.024.062.410.970.70
5.264.033.943.40-0.311.29-0.911.122.360.29-0.820.72-0.400.830.32

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
1.261.361.232.012.162.171.901.941.631.581.511.301.331.241.130.991.021.091.230.961.021.101.141.021.071.131.261.221.091.181.061.151.081.191.171.121.201.301.331.301.261.271.201.211.181.131.081.021.051.071.041.151.231.341.501.451.461.371.371.311.141.081.09
0.080.070.040.000.000.010.010.010.010.020.020.020.030.040.040.050.100.140.200.130.160.180.150.130.130.180.170.170.170.200.220.110.140.210.190.120.140.200.210.170.160.210.190.190.210.230.120.130.190.220.220.190.220.230.260.260.280.290.310.310.350.360.38
0.090.080.040.010.010.010.020.020.020.030.030.040.050.060.070.070.130.180.280.170.210.240.210.180.180.240.230.230.240.290.320.150.200.310.270.160.200.270.280.230.210.290.250.250.310.350.220.240.330.380.380.330.380.390.430.440.440.440.450.440.640.660.65
73.3673.0472.3372.0871.4973.6271.4868.7368.3568.1669.6071.2372.2573.2073.1674.5776.2877.9274.7073.2674.3974.2672.7373.3373.4872.2872.3272.3772.9074.0073.7568.7676.3076.4977.0674.5073.3872.3871.0469.1467.6266.9565.9967.3367.6866.6865.0265.8565.7365.7863.2664.4363.1562.0862.5564.2265.6565.2565.4466.9468.3470.1371.21
14.8616.7115.6215.0016.5717.3115.0114.1417.5919.5815.6515.7817.2214.5110.0610.6311.478.538.696.199.6711.026.978.209.099.697.026.376.888.155.425.177.166.966.076.136.269.677.256.648.166.885.085.257.487.955.313.815.907.374.112.443.593.101.68-201.30100.00100.00-1.00-1.783.49-0.18-3.62
14.8616.7115.6215.0016.5717.3115.0114.1417.5919.5815.6515.7817.2214.5110.0610.6311.478.538.696.199.6711.026.978.209.099.697.026.376.888.155.425.177.166.966.076.126.269.677.256.648.166.885.085.257.487.955.313.815.907.374.112.443.593.101.680.802.792.54-1.00-1.783.49-0.18-3.62
---------------------------------------------------------------
14.5716.4715.7515.3916.8017.4615.0014.2217.5019.3915.5115.7117.0914.449.9110.5311.318.338.255.909.2810.646.727.798.799.396.746.056.557.705.114.896.816.575.745.815.929.346.926.337.846.544.654.706.917.414.773.195.226.613.421.552.722.000.49-0.221.781.35-2.30-3.622.16-1.30-4.99
11.0112.4512.0211.8812.6713.1511.5210.8113.4214.6512.0111.9512.9410.937.708.448.636.816.304.837.037.995.426.246.637.065.3813.274.034.823.533.124.374.263.653.963.715.954.304.384.904.112.862.884.404.613.342.043.334.122.060.981.801.260.290.311.060.86-1.52-1.551.48-0.80-3.05
0.270.280.270.290.310.300.290.300.340.360.340.330.340.350.300.310.310.270.280.310.330.340.330.360.390.390.390.370.370.390.350.420.390.380.360.390.420.430.400.460.490.480.470.450.480.490.510.510.510.540.520.530.570.580.530.500.500.500.450.430.450.440.41
---------------------------------------------------------------
2.212.152.182.402.152.312.192.092.102.032.052.232.082.171.992.202.122.032.052.172.152.042.032.222.152.142.052.072.072.182.172.342.212.192.112.052.282.212.092.112.272.222.112.132.302.232.162.422.232.322.232.282.332.322.202.242.252.282.142.122.282.262.14
40.6941.8741.2337.4741.8439.0041.0543.0642.8644.2443.8840.3643.2141.3845.1640.9942.3844.4043.8441.5241.8444.0244.3140.5941.8742.1243.8643.4643.3941.2541.5038.5040.8041.0742.7243.8039.4540.6843.1042.6439.6840.5542.6142.3039.1740.2841.6137.1340.4138.7240.4439.3938.6338.8140.9940.1140.0739.4642.0742.5139.4739.8642.06
4.164.804.474.605.315.234.614.496.507.786.156.046.965.883.744.194.523.253.332.634.164.893.103.654.214.733.488.202.703.412.302.142.952.922.412.662.854.803.323.704.664.112.722.654.384.803.472.123.734.982.451.132.231.590.340.341.210.98-1.61-2.121.82-0.99-3.54
4.194.844.514.645.365.284.664.546.587.896.246.147.085.993.814.284.633.333.422.704.285.043.203.774.364.913.628.562.833.582.422.263.123.102.572.843.055.183.623.784.784.222.802.724.514.963.592.213.885.002.471.142.251.600.350.341.230.99-1.63-2.141.85-1.00-3.60
3.013.473.283.453.953.913.393.264.575.334.114.004.453.792.322.602.651.851.781.512.322.741.792.242.592.792.084.941.511.871.231.291.711.601.331.561.572.541.702.032.401.991.331.312.132.251.711.041.712.231.070.521.020.730.160.160.540.43-0.69-0.920.66-0.35-1.25
3.844.454.314.585.295.204.584.446.427.676.035.896.765.673.583.984.082.802.652.303.514.042.623.173.653.892.876.812.242.721.801.922.532.301.952.352.443.862.643.083.933.242.212.153.473.693.051.843.013.861.910.921.741.230.250.250.870.70-1.11-1.471.18-0.63-2.21
83.9180.3376.3173.1369.6665.8162.2259.6856.9353.1548.9146.3443.4640.3737.8836.6435.1133.4732.3631.4330.5529.2427.7227.0826.0524.9123.6522.8020.8620.2419.4719.0818.6018.0217.4217.0216.4615.9515.1214.7514.1013.3712.7612.4512.0711.5210.8710.5710.329.909.409.179.068.858.708.658.628.508.398.528.888.718.76
15.648.853.9721.5915.5410.904.4717.7312.907.803.6014.3310.025.252.2911.638.985.581.9410.327.834.301.159.757.104.251.356.054.893.050.935.704.612.600.675.734.462.621.034.013.611.840.164.022.671.270.284.063.112.030.982.411.430.44-0.040.970.810.21-0.100.700.960.490.35
-16.96-16.57-13.085.262.912.43-0.334.032.481.971.903.944.461.501.333.401.560.21-1.94-0.31-1.41-1.99-0.991.291.24-0.23-0.43-0.91-0.95-1.81-2.451.120.41-1.370.682.361.790.43-0.140.290.58-0.78-0.16-0.82-1.19-1.540.040.72-0.07-0.77-0.62-0.40-0.71-0.41-0.290.830.760.20-0.100.320.660.270.26