SBA Communications Financial Ratios for Analysis 2009-2024 | SBAC

Fifteen years of historical annual and quarterly financial ratios and margins for SBA Communications (SBAC).

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
0.360.691.000.770.320.310.930.371.080.990.460.451.021.121.49
1.791.701.761.771.601.601.391.321.251.090.940.881.000.900.80
-2.38-2.44-2.33-2.30-2.82-2.94-3.58-4.40-4.95-11.9016.468.20-296.528.924.15
77.4174.6176.3777.1275.5374.8774.1774.2372.8871.9468.7170.7070.9468.1767.50
34.0635.1433.8930.4228.9629.1726.5423.7219.0722.0417.6015.4215.8511.859.89
34.0635.1433.8930.4228.9629.1726.5423.7219.0722.0417.6015.4215.8511.859.89
66.9464.3966.4478.5264.5766.2866.9165.6660.5265.4661.4960.2561.4557.7958.31
20.2319.9710.94-0.859.282.776.775.35-10.17-1.03-4.39-18.56-17.87-30.87-25.31
18.5117.5210.291.167.302.546.004.67-10.72-1.59-4.28-18.98-18.11-31.07-25.36
0.270.250.240.230.210.260.240.220.220.190.190.140.190.180.17
---------------
14.8414.2822.6528.1215.2516.8019.0520.8519.6614.6418.2924.4031.5933.3628.28
24.6025.5516.1212.9823.9421.7219.1617.5118.5624.9219.9614.9611.5510.9412.91
-9.62-8.71-4.50-0.50-4.02-1.41-3.99-3.8210.303.68-15.66-28.131,122-61.31-23.52
-6.52-5.71-2.94-0.30-2.02-0.71-1.67-1.353.230.501.857.407.6916.4416.89
4.894.342.420.261.510.661.421.04-2.40-0.31-0.82-2.78-3.52-5.72-4.26
7.646.083.400.382.400.841.551.24-2.61-0.34-0.97-3.32-3.80-6.18-4.61
-47.86-48.86-48.49-43.93-32.81-30.03-22.32-16.49-13.57-5.122.785.14-0.102.765.12
14.1811.7510.709.928.467.306.765.935.665.233.892.832.231.741.90
12.019.799.508.797.116.015.554.814.023.592.571.891.091.161.51

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
0.670.190.190.360.690.700.740.690.400.380.421.000.680.770.700.770.831.130.390.320.650.220.210.311.231.181.210.930.320.321.320.371.160.361.211.081.161.101.130.990.500.230.680.461.541.650.400.452.260.295.311.021.962.731.441.121.791.931.331.493.102.551.75
1.732.031.981.791.711.681.701.701.851.851.831.761.721.681.721.771.721.691.751.601.571.621.601.601.481.461.381.391.381.341.281.321.241.251.241.251.251.161.151.091.050.970.940.940.930.930.880.880.920.870.931.001.000.970.930.900.880.870.810.800.800.780.78
-2.38-2.31-2.37-2.38-2.42-2.47-2.43-2.44-2.30-2.29-2.33-2.33-2.39-2.47-2.39-2.30-2.39-2.46-2.45-2.82-2.77-2.90-2.94-2.94-3.10-3.19-3.63-3.58-3.97-4.37-4.52-4.40-5.41-5.28-5.20-4.95-5.00-7.29-7.68-11.90-25.3743.0617.3416.4612.6012.957.708.2012.048.3513.75-296.5253029.4414.108.927.597.064.454.153.933.483.62
77.4878.6179.0278.6278.0677.2775.6874.9173.7274.5475.3376.4976.2476.4176.3576.1276.7678.0277.6676.3975.6775.1274.9074.7275.0174.9374.8374.1574.3174.4173.7974.4974.3673.7274.3473.1172.8072.7072.9172.3371.5571.9871.8870.0268.9068.0267.8469.5769.9671.1172.8972.6670.4770.7169.7768.6968.1067.6768.1967.6967.4967.7967.02
56.2653.6749.1531.0636.4235.5533.1834.2035.9735.4334.9833.1635.9434.7131.6330.8130.6630.9629.2429.9630.3127.2828.2331.0729.5427.5828.3626.8826.9626.8225.4725.7926.3118.2624.4120.1810.4923.9021.7223.8622.7521.7319.4317.7219.2415.2718.1310.5717.2115.1620.9317.4015.7115.9114.2510.0913.0312.9611.418.3110.739.9810.63
56.2653.6749.1531.0636.4235.5533.1834.2035.9735.4334.9833.1635.9434.7131.6330.8130.6630.9629.2429.9630.3127.2828.2331.0729.5427.5828.3626.8826.9626.8225.4725.7926.3118.2624.4120.1810.4923.9021.7223.8622.7521.7319.4317.7219.2415.2718.1310.5717.2115.1620.9317.4015.7115.9114.2510.0913.0312.9611.418.3110.739.9810.63
---------------------------------------------------------------
44.6722.2726.0620.5113.6625.4721.3318.7815.1910.0636.918.126.2734.74-5.9526.222.534.53-37.6116.423.709.517.3415.093.03-16.588.762.4212.112.959.682.53-3.358.5613.978.10-37.507.43-18.551.07-3.98-1.940.90-6.536.55-10.49-7.35-17.27-22.06-22.86-11.08-15.69-18.82-17.08-20.08-23.19-21.34-54.28-25.21-30.08-36.02-21.44-13.07
38.7324.6523.4916.2312.8130.0114.9815.0514.8010.6630.438.228.1126.53-2.1419.744.324.50-24.5713.114.276.395.2711.813.46-12.586.881.7311.332.168.881.26-3.748.0713.427.62-37.976.89-19.270.10-4.23-2.470.41-5.716.48-11.07-7.15-17.86-21.98-23.34-11.76-15.82-18.97-17.43-20.42-23.66-21.74-54.17-25.23-30.01-35.97-21.56-13.25
0.070.070.070.070.070.060.060.060.070.070.060.060.060.060.060.060.060.050.060.050.060.050.050.070.060.060.060.060.060.060.060.060.050.050.050.060.060.050.050.050.050.050.040.050.050.050.050.040.040.050.050.050.050.050.050.050.050.050.050.040.040.040.04
---------------------------------------------------------------
6.017.455.203.694.314.233.693.725.785.665.105.847.756.696.377.237.695.564.823.894.144.264.364.365.235.224.534.894.965.645.705.325.516.134.564.885.604.404.483.885.085.275.074.705.106.796.337.526.808.738.058.329.849.368.678.818.359.059.987.388.919.989.59
14.9712.0817.3124.3720.8821.2624.4024.1815.5815.8917.6615.4111.6213.4414.1312.4411.7116.2018.6623.1521.7621.1420.6220.6517.2017.2419.8518.4218.1315.9515.7816.9316.3314.6719.7218.4316.0820.4620.0723.1917.7217.0817.7419.1417.6513.2614.2211.9813.2310.3111.1810.829.159.6110.3810.2210.789.949.0212.1910.109.019.38
-4.94-3.00-2.96-2.12-1.65-3.97-1.91-1.94-1.86-1.27-3.47-0.93-0.96-3.150.23-2.20-0.51-0.542.96-1.84-0.61-0.96-0.79-1.69-0.511.89-1.22-0.29-2.18-0.47-1.96-0.260.92-2.03-3.29-1.829.19-2.507.62-0.065.59-5.940.36-5.374.80-8.24-3.21-8.05-12.18-11.42-8.73258-530.83-26.49-16.13-12.17-9.30-21.08-6.65-7.27-7.87-4.28-2.75
-3.34-2.09-2.03-1.44-1.11-2.62-1.26-1.27-1.24-0.84-2.26-0.60-0.61-1.930.15-1.33-0.30-0.311.68-0.93-0.32-0.49-0.40-0.85-0.250.88-0.51-0.12-0.85-0.17-0.68-0.090.29-0.61-0.99-0.572.87-0.551.59-0.010.400.24-0.040.63-0.811.350.942.123.233.341.641.772.172.082.613.263.248.104.365.226.724.132.37
2.511.631.551.080.831.900.950.971.000.691.860.500.491.53-0.121.160.250.25-1.370.690.240.340.280.790.22-0.790.430.100.670.130.520.07-0.190.440.730.42-2.110.37-1.050.01-0.21-0.130.02-0.280.33-0.55-0.35-0.79-0.88-1.14-0.55-0.81-0.93-0.81-0.99-1.13-1.01-2.44-1.14-1.32-1.50-0.90-0.56
3.593.092.901.681.172.701.341.361.581.082.880.700.702.16-0.171.700.370.37-2.231.100.350.590.471.020.25-0.870.470.110.830.160.560.09-0.220.520.790.46-2.310.40-1.150.01-0.27-0.160.02-0.330.35-0.59-0.40-0.95-1.03-1.54-0.59-0.87-1.00-0.87-1.07-1.23-1.09-2.64-1.23-1.43-1.60-0.96-0.60
-48.14-49.47-48.41-47.86-47.78-46.99-48.64-48.86-49.69-50.42-50.32-48.49-45.29-44.18-46.15-43.93-40.26-38.47-38.70-32.81-31.62-29.53-29.18-30.03-27.53-26.49-22.22-22.32-19.06-16.41-15.81-16.49-13.43-12.91-12.99-13.57-13.46-8.84-8.01-5.12-2.311.233.082.783.503.415.495.143.623.952.24-0.100.061.011.882.763.243.474.805.125.465.895.48
9.496.692.7114.1810.217.332.8511.759.126.082.6710.707.995.732.619.927.775.212.488.466.124.061.957.305.383.691.516.764.893.301.425.934.232.821.155.664.202.891.385.233.762.601.163.892.511.790.742.831.951.230.592.231.691.090.461.741.240.850.321.901.460.920.42
7.905.692.1812.018.616.302.409.797.765.252.329.507.185.242.388.796.934.622.137.115.153.421.636.014.473.101.255.554.012.731.124.813.392.260.864.022.931.980.853.592.742.040.932.571.751.240.461.892.110.830.371.090.810.600.291.160.830.610.221.511.170.730.35