Sally Beauty Holdings Financial Ratios for Analysis 2009-2024 | SBH

Fifteen years of historical annual and quarterly financial ratios and margins for Sally Beauty Holdings (SBH).

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
2.121.702.082.542.552.351.992.402.412.381.872.441.911.951.91
0.680.790.830.991.041.181.261.181.201.241.231.081.181.421.59
2.103.924.93116-26.43-6.61-5.14-6.46-6.00-5.15-5.57-14.05-6.45-3.39-2.73
50.9250.3050.4148.8249.2949.4449.8949.6949.5049.5649.5649.4748.7848.1647.16
8.728.8510.807.3611.8310.8512.1512.6112.9213.5114.3714.1713.7211.6911.26
8.728.8510.807.3611.8310.8512.1512.6112.9213.5114.3714.1713.7211.6911.26
11.5411.5613.5410.5214.7013.7115.0915.2115.3515.7316.4616.1615.7513.7113.36
6.766.408.394.559.348.358.788.969.8710.4111.3910.2410.287.826.25
4.954.816.193.227.016.565.465.646.136.557.216.616.544.933.76
1.371.481.361.211.851.881.881.851.831.871.861.711.891.831.77
1.882.032.212.212.062.112.122.192.192.292.262.422.522.502.49
49.1452.7958.2062.2837.0843.4642.7047.0642.0938.1137.6428.0834.2234.5138.92
7.436.916.275.869.848.408.557.768.679.589.7013.0010.6710.589.38
36.2962.5185.44733-450.28-96.09-59.15-80.73-78.94-70.88-86.05-202.51-97.60-31.18-16.10
-232.19-64.92-75.90-19.43-41.59-29.42-21.91-24.72-25.52-24.65-26.87-30.04-25.01-13.71-8.34
6.777.128.423.9112.9412.3010.2510.4611.2212.2713.3911.2812.369.056.65
11.7213.3314.426.2517.7017.2015.2714.7915.7917.1119.9515.5417.9413.109.55
4.792.752.490.14-0.52-2.24-2.81-1.91-1.97-2.24-1.85-0.64-1.19-2.53-3.38
2.281.423.343.722.663.012.482.381.901.931.761.581.551.181.22
1.450.522.702.761.902.311.841.381.231.471.281.211.230.921.02

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
2.121.992.202.122.121.921.801.701.602.272.082.082.041.682.622.541.881.582.002.552.632.792.512.352.122.111.971.992.182.402.452.402.472.282.482.412.792.622.752.382.422.552.581.871.992.132.512.441.942.132.131.911.991.991.851.951.881.991.981.912.202.08
0.630.640.660.680.690.710.740.790.790.840.830.830.860.910.950.991.041.041.001.041.051.091.141.181.231.221.241.261.251.221.191.181.191.241.221.201.121.171.161.241.251.171.191.231.221.211.111.081.161.051.131.181.211.281.351.421.501.511.541.591.621.71
1.781.901.982.102.222.593.073.924.235.084.924.936.2211.7718.19116-32.42-36.58718-26.43-22.86-11.81-8.26-6.61-5.64-5.89-5.48-5.14-5.30-5.58-6.17-6.46-6.30-5.22-5.54-6.00-9.52-6.94-7.09-5.15-5.02-6.75-6.23-5.57-5.74-5.84-10.28-14.05-7.48-19.59-8.65-6.45-5.69-4.53-3.95-3.39-3.02-2.95-2.91-2.73-2.61-2.44
51.0350.9850.1650.6450.9950.9851.0548.1650.9951.0651.0250.5950.3150.4450.2951.0745.6349.3448.4449.6249.4549.5148.5849.4949.5249.8648.9149.5250.3650.5049.1949.5149.9949.7449.5049.2949.7349.8549.1249.5150.1149.6448.9749.5750.1149.4849.0849.8850.1049.1248.7849.3249.0748.8747.8148.9548.5747.7947.2747.3047.2047.09
7.626.567.428.359.687.779.054.0710.329.4911.5111.2312.468.1511.1512.490.204.979.6312.0212.3211.9011.0910.6810.2611.3911.0711.4713.0612.3211.7511.3513.4312.4913.1212.3713.5213.7612.0513.3614.2213.5012.9514.1315.6314.2313.4613.3515.3914.8013.1013.6416.2913.1811.6412.4912.4611.7110.0111.2612.2111.26
7.626.567.428.359.687.779.054.0710.329.4911.5111.2312.468.1511.1512.490.204.979.6312.0212.3211.9011.0910.6810.2611.3911.0711.4713.0612.3211.7511.3513.4312.4913.1212.3713.5213.7612.0513.3614.2213.5012.9514.1315.6314.2313.4613.3515.3914.8013.1013.6416.2913.1811.6412.4912.4611.7110.0111.2612.2111.26
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5.424.305.566.217.685.967.172.266.587.309.449.1910.175.578.379.54-3.672.487.439.729.689.388.628.157.808.808.666.1110.369.549.078.6210.769.746.719.3410.5010.649.0210.2611.1310.319.9211.1312.6711.2510.5110.5012.3612.295.7010.3612.979.717.928.778.667.775.976.927.606.27
4.003.224.124.625.464.455.262.224.845.147.026.887.454.146.117.33-3.341.535.437.147.306.956.645.715.846.298.373.676.675.905.585.396.806.144.235.836.456.565.696.547.146.366.177.157.957.226.517.447.837.633.486.498.276.155.165.625.534.803.713.994.683.83
0.350.330.340.340.350.340.360.370.360.330.340.350.370.320.310.330.220.300.370.460.470.450.460.460.480.460.470.460.470.470.470.460.480.470.490.460.440.440.460.470.480.440.460.460.470.470.460.430.490.500.480.480.480.470.480.470.490.470.460.450.460.45
0.450.430.460.470.460.440.470.530.460.460.480.560.540.480.520.580.470.470.510.510.510.500.520.520.530.520.540.530.520.520.560.540.550.550.550.550.560.560.590.580.560.560.590.570.580.600.610.600.620.660.650.640.640.640.660.630.650.650.640.640.640.63
10.3110.3711.8712.1411.9712.1412.6913.3214.2715.0114.8214.8713.3814.0013.7816.9711.709.9710.369.2410.0510.3510.7810.6810.539.8810.2610.5611.2912.2812.7011.6311.8212.1112.3310.5911.0911.5311.009.599.9310.1710.139.428.107.939.117.038.799.559.118.768.788.268.748.859.058.938.739.9810.629.47
8.738.687.597.417.527.417.096.766.316.006.076.056.736.436.535.307.709.028.699.748.958.708.358.438.549.118.778.527.977.337.087.747.627.437.308.508.117.818.189.399.078.858.889.5611.1111.349.8812.8010.249.429.8810.2710.2510.9010.3010.179.9410.0810.319.028.479.51
6.535.317.098.3710.429.5913.487.2715.7417.2224.5024.2734.2928.4157.8545434.03-25.132,420-114.40-100.99-45.30-30.61-20.55-17.85-19.48-24.30-9.82-18.89-17.78-19.32-19.05-24.01-17.62-13.13-18.86-32.85-23.58-21.49-17.79-18.68-21.76-19.92-21.36-24.62-23.13-37.52-57.03-34.41-97.98-17.88-24.82-26.48-14.44-10.06-9.11-7.82-6.23-4.49-4.38-4.84-3.47
-394.76-77.50-75.97-53.56-52.13-25.72-23.95-7.55-16.19-14.59-21.95-21.57-20.07-8.21-11.30-12.043.58-2.09-8.96-10.57-10.62-8.80-8.05-6.29-6.21-6.55-8.63-3.64-6.86-6.10-6.17-5.83-7.61-6.28-4.50-6.10-7.63-6.94-6.12-6.19-6.60-6.29-6.06-6.67-7.60-6.97-7.22-8.46-8.07-9.19-3.61-6.36-7.62-4.98-3.90-4.01-3.73-3.03-2.23-2.27-2.73-2.05
1.391.061.411.561.901.531.890.831.731.712.412.392.741.321.912.42-0.740.461.993.293.433.143.062.632.782.923.941.703.142.752.652.473.252.912.072.682.852.882.623.083.422.782.823.323.763.432.993.183.833.791.683.144.012.892.452.642.712.261.711.812.151.72
2.421.912.392.703.272.743.461.553.372.834.144.104.752.513.013.87-1.320.893.374.504.684.204.233.684.034.225.832.544.653.893.743.494.534.172.893.773.863.973.534.294.683.793.814.955.494.874.054.375.545.282.354.565.674.103.563.833.933.202.412.603.012.45
5.635.325.164.794.533.963.482.752.772.542.562.491.971.200.880.14-0.62-0.470.02-0.52-0.59-1.21-1.79-2.24-2.72-2.56-2.72-2.81-2.66-2.31-2.02-1.91-1.94-2.34-2.16-1.97-1.21-1.66-1.62-2.24-2.33-1.66-1.79-1.85-1.76-1.65-0.89-0.64-1.12-0.37-0.91-1.19-1.42-1.87-2.23-2.53-2.89-3.04-3.20-3.38-3.58-3.90
1.280.820.472.281.210.730.501.420.45-0.03-0.053.341.891.150.343.722.440.660.532.661.680.910.423.012.321.430.812.481.641.130.622.381.681.430.451.901.301.090.361.931.190.960.361.761.130.760.241.581.040.720.231.551.030.670.151.180.800.510.111.220.890.68
0.680.400.191.450.630.340.270.52-0.17-0.42-0.282.701.500.910.212.761.650.040.181.901.230.630.222.311.811.130.641.841.150.780.431.380.950.950.191.230.860.860.241.470.880.770.281.280.760.520.111.210.810.580.161.230.810.510.070.920.610.380.041.020.750.59