Stepan Financial Ratios for Analysis 2009-2024 | SCL

Fifteen years of historical annual and quarterly financial ratios and margins for Stepan (SCL).

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
1.401.561.832.172.412.462.462.312.552.312.262.122.062.082.14
0.250.280.230.140.180.230.270.310.360.320.300.240.290.310.24
0.540.500.340.200.250.340.390.500.590.510.490.380.490.540.36
11.9415.4016.8720.5218.2817.0217.9819.2117.3512.9514.9816.1613.8716.4918.26
2.527.487.289.176.857.498.047.246.914.715.807.146.437.548.22
2.527.487.289.176.857.498.047.246.914.715.807.146.437.548.22
7.0510.8911.1513.5511.0811.5512.1511.4810.688.028.809.988.9810.3611.13
2.086.807.359.156.776.917.636.445.793.925.086.425.697.097.61
1.735.315.876.785.555.575.244.884.282.963.874.403.914.524.88
0.981.141.141.071.181.321.311.301.431.661.611.832.051.762.01
7.715.836.386.797.467.159.148.228.619.169.289.3314.2812.3813.97
5.516.355.596.216.717.126.566.717.127.137.087.057.077.188.12
66.2457.5065.2858.8254.3651.2655.6654.4451.2951.2251.5751.7751.6450.8244.93
3.3012.6212.8412.9211.5513.7513.6013.5513.6210.6313.0616.6218.5019.2922.80
3.7714.5415.0513.6312.1114.4114.4514.6514.3711.3113.9617.1418.7519.2322.46
1.706.056.687.286.537.346.856.376.144.916.208.098.068.089.95
2.499.089.8711.119.4510.619.989.328.737.289.1712.6412.7312.7816.42
54.3652.4447.9143.9839.6435.9132.9228.3625.0624.1324.7921.8919.7917.4714.60
7.626.973.1010.119.377.348.519.198.043.606.564.793.452.987.71
-3.72-6.10-5.234.624.843.625.144.722.82-0.842.511.14-0.26-0.815.73

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
1.271.321.381.401.461.461.521.561.781.701.771.831.711.761.722.172.312.502.482.412.722.692.742.462.492.552.612.462.642.672.582.312.852.802.892.552.582.412.362.312.242.262.282.262.292.292.152.122.162.172.082.061.961.921.932.082.092.362.172.142.101.991.85
0.220.240.250.250.260.270.280.280.290.250.260.230.180.160.140.140.150.170.190.180.200.190.220.230.250.260.260.270.280.290.300.310.320.330.340.360.370.300.330.320.280.290.290.300.310.330.230.240.250.270.270.290.270.280.280.310.310.300.240.240.260.290.33
0.560.550.530.540.540.560.600.500.500.470.480.340.260.230.250.200.220.230.260.250.270.270.330.340.370.380.380.390.410.430.470.500.510.520.550.590.620.470.530.510.460.460.480.490.520.560.390.380.400.440.460.490.470.480.490.540.510.470.340.360.390.490.61
13.8412.5012.7512.4812.6711.4511.2910.8016.4717.5116.1713.6515.2518.7520.2721.9920.9021.3917.6219.0417.1419.6517.3015.9816.4517.3118.2618.6715.4918.1819.6716.5118.7420.4420.9717.8117.4817.5816.6010.9713.2514.2013.2012.8515.6415.5415.9216.4116.1615.6116.5013.5312.8314.5914.6214.0015.9317.3218.8616.0321.1320.4415.31
4.383.353.660.043.473.073.231.867.6010.339.383.286.679.5110.038.999.139.698.896.406.198.686.087.605.348.738.278.246.247.909.872.756.469.4410.004.828.746.327.641.984.537.324.722.936.547.566.205.767.697.417.614.766.697.147.063.698.498.129.994.4710.329.718.23
4.383.353.660.043.473.073.231.867.6010.339.383.286.679.5110.038.999.139.698.896.406.198.686.087.605.348.738.278.246.247.909.872.756.469.4410.004.828.746.327.641.984.537.324.722.936.547.566.205.767.697.417.614.766.697.147.063.698.498.129.994.4710.329.718.23
---------------------------------------------------------------
3.903.093.53-0.692.822.813.061.487.029.258.793.656.529.719.888.979.3410.387.896.276.088.366.346.554.868.317.877.646.017.499.471.676.108.629.083.597.465.346.631.323.716.593.792.175.866.795.544.976.866.707.034.105.656.576.423.388.537.209.384.139.339.547.31
4.321.712.52-0.222.242.192.481.735.486.946.642.796.137.277.556.137.147.756.124.955.736.395.115.134.286.446.404.034.495.636.822.004.806.276.263.075.613.744.621.372.754.832.732.254.294.794.173.744.554.524.763.053.804.344.442.155.244.656.132.585.996.104.76
0.230.240.230.230.240.240.270.260.310.330.300.300.310.320.290.280.290.300.300.280.300.310.320.310.340.360.340.320.340.350.340.310.330.350.350.340.360.390.400.390.420.420.410.410.410.420.450.430.460.500.490.490.560.520.490.440.460.500.510.490.510.540.57
1.591.831.871.751.731.511.571.391.511.821.841.721.761.821.821.761.821.741.871.771.841.761.881.692.172.282.172.232.522.271.982.021.972.001.982.022.042.092.232.212.172.122.232.402.252.332.162.202.382.882.863.453.172.553.033.213.073.493.193.493.133.282.97
1.261.271.231.261.341.371.391.441.511.451.341.451.461.521.411.641.571.611.551.611.601.641.641.671.571.671.541.611.551.621.631.601.581.591.531.681.661.711.701.681.701.641.611.791.621.671.621.671.661.691.611.701.711.621.581.811.671.731.741.981.791.891.84
71.4570.7472.8971.3866.9565.7064.9762.7059.5962.1167.2461.9061.7659.2063.7154.8157.2856.0258.1255.9956.4054.9955.0054.0157.2454.0558.6355.7657.9655.6755.2656.3656.8556.4358.8653.5854.2152.6253.0753.5852.8454.7855.8550.4255.4953.7855.4953.9054.1753.2455.7452.8452.5455.5857.0349.7053.8851.9451.6645.5050.3647.7348.86
1.940.801.14-0.101.051.041.360.933.484.634.011.593.494.124.053.133.553.993.172.473.033.523.002.962.794.394.122.582.973.944.731.323.344.604.682.314.513.074.011.162.344.162.311.903.784.473.853.234.474.985.303.454.965.415.162.535.795.617.103.187.368.337.43
2.190.911.30-0.111.191.201.561.074.015.334.671.864.114.884.833.303.754.173.322.593.153.673.143.112.944.634.362.743.164.215.091.433.494.814.922.434.773.254.271.232.484.412.462.034.064.803.963.334.505.035.363.505.045.515.142.535.775.526.993.137.258.207.31
0.980.410.59-0.050.540.520.660.451.692.281.970.831.892.292.221.772.062.321.831.401.701.981.641.581.462.292.161.301.511.982.330.621.612.182.221.042.001.461.840.541.142.021.110.901.752.021.891.572.102.282.371.502.162.312.191.062.402.353.151.393.073.262.70
1.510.610.86-0.070.770.770.980.672.473.452.961.222.863.473.492.693.013.312.582.022.442.832.332.292.093.273.061.892.142.813.310.912.263.073.071.482.862.152.710.791.682.971.631.342.603.002.952.463.253.543.742.383.493.783.571.683.863.755.182.295.165.554.67
54.2153.0254.0454.3653.7954.3653.2852.4450.8550.4749.9347.9147.2546.7644.5943.9841.8240.0938.6139.6437.9938.0636.8035.9134.5833.8334.2432.9232.6931.4530.0228.3628.5627.7926.7525.0624.8424.7523.8124.1325.8526.2925.2324.7923.8822.9522.4021.8922.5121.4921.0319.7919.5719.7418.5717.4717.2115.8015.3614.6014.1512.8311.27
4.093.101.817.624.621.56-3.136.973.251.65-0.903.100.921.06-0.5010.116.102.52-0.289.375.693.380.197.344.132.310.048.515.332.610.149.195.163.32-0.088.045.413.421.483.601.960.66-0.396.563.561.82-0.434.793.431.620.213.450.56-0.95-1.142.982.080.58-0.157.715.524.020.72
0.310.490.50-3.72-4.70-5.41-7.14-6.10-5.66-3.96-3.51-5.23-4.23-2.30-2.264.622.360.08-1.794.842.651.44-0.913.621.430.43-1.135.142.860.97-0.734.722.151.55-0.932.821.451.060.24-0.84-0.77-1.05-1.282.510.64-0.01-1.351.140.76-0.18-0.74-0.26-2.15-2.76-2.15-0.81-0.86-0.68-0.745.734.092.93-0.02