Sinclair Financial Ratios for Analysis 2009-2024 | SBGI

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

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
1.342.772.063.112.573.112.361.421.311.082.030.991.071.221.11
0.950.861.161.100.880.710.720.880.880.900.881.051.111.151.18
18.896.26-7.23-10.597.342.432.647.537.719.597.48-22.72-10.83-7.72-6.76
47.0349.4429.1252.4547.4357.0256.7960.3362.7665.2765.9668.4168.0771.1871.00
-10.561011.55-46.6411.0821.6027.9622.9919.0525.0323.7731.0229.4831.37-16.85
-10.561011.55-46.6411.0821.6027.9622.9919.0525.0323.7731.0229.4831.37-16.85
0.6412051.0156.0338.2334.0842.8338.6336.6042.0040.0845.1043.0047.165.82
-20.3392.01-8.14-52.990.2110.1519.6914.2210.5415.817.7420.0015.8615.09-25.95
-9.2967.52-6.75-40.621.1111.1621.859.357.7310.745.3913.639.909.92-20.65
0.520.590.490.440.240.460.390.440.410.370.330.390.490.520.41
---------------
5.026.374.394.613.435.104.435.055.225.114.415.775.746.325.72
72.6757.3383.1379.2310671.5782.3372.3069.9771.4382.7363.2263.6257.7163.85
-126.2439719.112056.2021.6338.7144.9435.2453.0715.84-144.41-68.77-48.1468.22
10.00-107.913.6126.77-0.94-14.98-23.29-7.10-5.31-6.12-2.92-7.67-7.71-7.2112.45
-4.5940.29-2.60-18.150.605.268.764.213.243.981.555.294.875.09-8.68
-6.4055.03-3.09-21.480.756.3510.965.474.215.151.906.807.277.33-12.31
3.489.78-23.34-16.0218.5016.9215.086.185.284.244.05-1.23-1.38-1.95-2.53
3.6111.314.3619.379.836.364.296.484.214.421.712.921.841.851.32
2.219.953.8617.858.245.355.395.663.505.40-8.94-11.581.361.711.22

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
1.781.421.342.332.412.392.772.272.212.432.062.452.563.223.112.612.873.652.572.663.113.123.112.982.962.902.361.742.653.081.421.321.281.271.311.371.371.241.081.242.271.972.031.723.570.940.990.950.991.021.071.231.391.231.221.201.301.231.110.910.320.78
0.940.940.950.880.870.840.860.870.870.861.161.141.141.111.101.160.870.890.880.880.710.720.710.710.710.710.720.780.780.790.880.890.880.890.880.890.900.900.900.910.890.900.880.860.861.051.051.031.041.071.111.121.131.141.151.151.161.171.181.121.181.14
15.0715.4218.897.166.595.126.266.676.666.26-7.23-8.03-8.08-10.57-10.59-7.436.858.037.347.442.482.562.432.462.472.562.643.663.623.727.538.647.708.057.718.628.729.489.5910.698.418.847.485.956.34-23.34-22.72-32.96-26.08-15.68-10.83-9.60-8.77-8.69-7.72-7.99-7.61-7.13-6.76-9.83-8.86-8.79
47.1747.3750.0045.8945.0546.9658.9651.6050.6640.1437.9432.7015.6931.1768.9828.8568.5146.6844.8246.4951.4950.4262.4756.1454.5553.4459.1755.6556.2255.8562.1561.0859.0658.7564.2161.6662.4362.5667.5864.6464.0064.0165.9965.4466.5565.8770.8168.6967.2265.8667.3268.3568.5268.2072.5370.8670.3170.6571.9171.5769.5670.81
7.725.26-46.734.82-0.392.7226.3518.2712.7826911.184.76-11.042.3241.34-273.9438.3520.3217.02-0.5313.7513.0229.4520.6318.0216.1350.1316.0518.2225.1434.1722.1919.3714.9120.3118.1620.6316.7534.0420.5422.6419.6324.1421.5126.8322.5236.1530.3028.6326.9329.8528.9530.8428.1936.0630.0930.5527.25-35.6622.3216.32-68.96
7.725.26-46.734.82-0.392.7226.3518.2712.7826911.184.76-11.042.3241.34-273.9438.3520.3217.02-0.5313.7513.0229.4520.6318.0216.1350.1316.0518.2225.1434.1722.1919.3714.9120.3118.1620.6316.7534.0420.5422.6419.6324.1421.5126.8322.5236.1530.3028.6326.9329.8528.9530.8428.1936.0630.0930.5527.25-35.6622.3216.32-68.96
--------------------------------------------------------------
2.902.63-55.93-7.43-13.93-1.4222.8116.37-5.50256-3.05-4.82-24.631.1339.62-273.8125.498.644.87-12.805.973.8821.678.093.564.2641.997.7110.8715.8426.1811.3911.586.5311.709.3412.588.1724.2911.3714.2110.295.2610.357.208.9725.6217.6119.2915.2517.1316.7516.4912.8622.3510.3914.8410.61-50.5011.975.72-68.40
2.052.88-41.28-6.00-11.5923.935.732.49-1.31201-6.031.24-20.60-0.7930.89-211.5719.647.642.65-5.335.453.0523.048.363.846.4862.274.756.849.1217.697.337.414.179.517.898.264.8115.559.779.086.580.5410.735.676.0117.9110.1411.9713.2010.6710.639.848.3714.357.669.436.88-36.869.331.76-55.35
0.150.130.140.130.120.120.140.130.130.190.120.120.130.120.110.120.080.090.090.060.120.110.140.120.110.100.110.100.100.100.110.120.120.100.110.100.100.090.110.090.110.100.100.090.090.100.120.120.120.130.140.120.130.120.160.120.120.110.120.100.100.10
--------------------------------------------------------------
1.241.231.321.271.311.271.561.111.071.661.061.061.211.171.171.141.171.301.310.951.291.241.491.261.291.171.201.221.191.221.321.311.361.391.441.421.441.371.591.511.511.451.381.351.491.431.791.701.561.621.601.581.591.611.901.631.521.511.601.661.651.63
72.7473.2067.9970.9968.9170.7957.8480.8283.8754.2285.1884.8474.1477.0276.7979.3076.8169.1968.5394.9669.8272.4560.3471.6469.7976.6175.1373.7575.7574.0168.4268.6166.1564.8462.5863.5362.4665.7456.7259.5859.4262.2665.0166.4660.4063.0950.2352.8957.6455.4856.4257.0956.5555.8747.3855.3559.0359.5056.2654.2354.5855.14
6.919.29-153.85-7.71-13.5723.239.104.53-0.933722.40-1.0921.13-2.19-43.3820115.079.125.19-2.932.811.5112.984.101.852.8028.982.944.096.4521.9610.699.324.9312.179.7610.406.0223.9513.7611.248.081.047.343.36-16.98-58.72-50.54-45.46-33.40-20.97-15.51-13.72-10.54-21.59-9.11-9.79-5.7634.35-12.00-1.8157.41
-0.71-0.9212.191.823.55-8.37-2.48-1.120.23-100.230.45-0.193.59-0.29-5.6734.79-2.54-1.37-0.790.42-1.87-0.98-9.00-2.74-1.29-1.88-17.43-1.08-1.67-2.51-3.47-1.43-1.40-0.71-1.83-1.30-1.35-0.71-2.76-1.50-1.91-1.27-0.19-1.70-0.89-0.88-3.12-1.88-2.09-2.55-2.35-1.92-1.88-1.53-3.23-1.35-1.56-0.996.27-1.37-0.237.36
0.330.41-5.59-0.74-1.403.000.920.44-0.0939.27-0.330.13-2.570.203.84-26.971.630.870.51-0.280.660.353.160.980.450.666.550.490.731.122.050.890.880.451.120.800.860.461.790.920.990.670.100.840.390.602.151.181.391.641.491.241.240.972.280.931.080.69-4.370.970.17-5.35
0.430.57-7.80-0.95-1.803.821.260.60-0.1251.65-0.390.16-3.000.234.55-31.431.931.010.63-0.350.810.433.811.190.540.818.200.650.921.382.671.151.110.571.451.031.090.582.321.191.210.830.121.060.460.782.771.631.862.352.221.851.811.493.291.331.540.99-6.201.410.33-7.83
4.154.073.489.2110.1712.209.789.169.149.80-23.34-20.67-20.59-15.74-16.02-22.6923.2019.9318.5018.1916.6116.5516.9215.7515.5115.3815.0810.9010.9610.696.185.325.745.475.284.774.674.324.243.683.803.524.054.163.87-1.19-1.23-0.64-0.82-1.07-1.38-1.55-1.67-1.79-1.95-1.94-2.12-2.34-2.53-1.66-1.84-1.91
-4.68-0.063.612.262.220.8911.316.552.920.974.363.11-0.16-2.7719.3711.224.14-0.439.835.362.391.066.363.632.480.984.292.701.360.746.483.492.191.404.213.281.881.194.423.661.841.371.711.500.570.612.922.010.990.831.841.580.840.681.851.330.690.451.320.970.650.29
-5.35-0.392.211.151.590.609.955.492.290.733.862.86-0.15-2.6617.859.963.16-0.738.244.321.730.755.352.871.970.765.394.062.922.605.662.761.671.133.502.771.390.945.403.071.571.25-8.941.500.390.51-11.581.640.760.751.361.250.590.611.711.200.630.431.220.890.590.26