Och-Ziff Capital Management Group LLC Financial Ratios for Analysis 2009-2025 | SCMT

Fifteen years of historical annual and quarterly financial ratios and margins for Och-Ziff Capital Management Group LLC (SCMT).

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
20222021202020192018201720162015201420132012201120102009
2.581.782.241.972.602.801.770.160.280.520.851.371.651.10
0.240.250.510.641.031.202.040.340.310.150.240.430.610.77
1.260.751.051.78-37.31-5.94-1.966.223.531.540.880.771.553.44
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
-9.3611.9826.140.58-2.3827.63-37.1725.2946.3556.76-56.68-228.42-125.27-185.49
-5.6614.4728.494.752.3930.33-37.1725.2946.3556.76-56.68-228.42-125.27-185.49
16.5125.9738.2527.5121.6041.34-24.8234.6654.2464.25-48.91-205.94-110.36-167.86
-9.463.0625.632.30-7.1854.98-39.6022.6455.1471.29-39.81-227.78-125.24-179.98
-2.87-1.3719.038.61-4.792.12-16.971.959.2413.81-25.33-67.97-31.85-40.02
0.250.380.570.430.350.520.520.120.170.280.270.300.440.34
--------------
0.662.821.622.594.902.243.9112.983.462.002.068.031.992.01
55212922514174.5516393.4028.1310518217745.46183182
-8.451.4435.57-9.46517-160.9210713.4942.0456.70-29.88-231.46-280.37-725.15
-8.451.4435.57-9.46517-160.9210713.4942.0456.70-29.88-231.46-280.37-725.14
-1.980.339.77-1.46-3.389.42-21.271.577.6518.28-12.42-71.61-57.26-62.34
-6.391.0817.33-3.40-14.2432.61-111.648.9329.1348.32-22.64-130.97-109.93-163.34
6.756.387.804.27-0.19-1.81-6.1025.9335.4146.9844.5015.2911.585.27
-12.9111.680.174.589.77-15.16-5.8624.4553.3422.61-23.8635.8261.8432.71
-12.9311.560.124.549.46-12.34-6.0522.0349.1322.53-24.0235.8261.8232.57

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
2023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.832.181.572.161.822.101.751.784.8111.552.182.241.711.571.951.971.552.261.932.601.681.843.182.801.571.561.731.771.251.141.230.160.170.180.210.280.260.280.390.521.411.381.480.851.401.461.441.371.491.461.441.651.441.451.401.101.001.001.01
0.440.420.440.430.430.420.460.250.550.410.450.510.700.740.670.640.710.700.791.031.081.000.971.201.621.773.242.041.943.031.850.340.320.320.310.310.290.270.280.150.290.300.300.240.320.370.380.430.650.700.750.610.850.890.950.771.131.261.30
1.351.231.721.261.301.231.290.751.220.710.831.052.312.882.071.782.432.283.71-37.31-13.41-211.6829.62-5.94-2.61-2.30-1.45-1.96-2.06-1.49-2.186.225.174.624.013.533.182.782.011.540.400.440.420.880.470.580.620.771.882.313.041.555.587.7218.203.44-8.54-4.81-4.30
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
-29.72-25.984.13-11.63-27.276.64-11.595.479.1035.761.5259.3214.23-110.33-36.2020.93-35.00-11.82-5.3313.17-38.27-18.9316.7835.3111.7829.3016.672.9918.96-120.40-73.84-18.3031.6746.7443.2545.3450.0941.9448.8157.2249.7349.8167.4031.34-182.24-164.54-232.26-216.21-216.64-231.24-254.15-5.51-304.19-293.03-357.43-29.86-414.27-446.22-408.35
-21.88-17.819.07-7.64-22.359.52-8.216.7512.2038.765.4660.3318.24-105.71-28.9023.08-28.61-5.52-0.3019.93-33.14-12.0916.7840.6011.7829.3016.67-3.2223.10-116.51-70.98-21.4131.6748.4244.8244.8550.6441.9449.4057.2249.7349.8167.4031.34-182.24-164.54-232.26-216.21-216.64-231.24-254.15-5.51-304.19-293.03-357.43-29.86-414.27-446.22-408.35
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-45.23-17.9415.64-8.65-38.54-8.7212.178.781.8325.57-33.0858.1021.52-81.63-79.5122.30-37.88-3.71-4.5411.35-38.54-32.7012.2790.6513.5326.1412.84-9.1828.03-119.69-73.34-33.3623.6545.7057.0747.6448.5666.5069.8269.2364.6754.5899.0247.00-160.75-166.06-191.26-204.27-228.89-232.62-252.24-6.94-303.35-288.13-356.23-20.95-404.02-439.10-425.10
-36.324.857.501.36-28.56-6.7617.34-2.23-4.1115.82-16.4535.747.16-24.97-35.6817.70-25.43-8.3330.10-0.56-15.49-11.172.721.504.348.79-5.151.029.65-51.50-36.81-6.515.341.487.7712.317.574.088.3618.0810.311.6710.497.54-75.91-65.15-87.10-75.58-62.33-63.39-68.97-4.01-76.37-72.16-81.00-10.52-78.70-92.37-84.22
0.060.060.070.070.050.070.060.160.090.120.110.380.090.080.070.190.080.080.090.120.070.090.080.270.090.090.110.190.110.110.150.030.030.030.030.070.040.030.040.160.080.070.090.160.060.080.070.090.080.080.080.270.080.080.070.200.050.050.05
-----------------------------------------------------------
1.611.191.591.391.462.144.761.171.661.461.241.092.271.081.291.181.751.481.311.691.311.201.271.151.311.341.751.433.313.302.923.365.466.494.341.548.256.704.251.164.145.042.501.244.774.577.772.364.275.215.831.224.394.586.761.214.716.003.97
55.9875.3256.6764.9361.6341.9718.9076.9854.3061.7172.4082.4039.5883.2969.9776.4151.4760.9468.7653.2168.9374.9670.9778.5968.6267.1551.5363.0827.1527.2430.8626.7616.4913.8620.7658.2810.9013.4421.1977.5021.7217.8736.0572.4518.8819.7011.5938.1121.0717.2615.4473.5020.4919.6713.3174.2419.0914.9922.67
-10.14-3.061.26-1.15-8.18-0.621.247.68-1.775.65-10.6559.359.42-52.90-30.4617.90-23.02-8.36-8.69-74.241422,29659.67-101.05-7.68-15.19-2.05-0.93-11.5851.4077.10-10.244.534.2610.1916.526.528.809.6932.369.896.7016.2016.25-24.52-33.58-35.50-61.30-95.35-116.30-154.61-13.32-329.62-437.78-1,115.25-78.72441267234
-10.14-3.061.26-1.15-8.18-0.621.247.68-1.775.65-10.6559.359.42-52.90-30.4617.90-23.02-8.36-8.69-74.241422,29659.67-101.05-7.68-15.19-2.05-0.93-11.5851.4077.10-10.244.534.2610.1916.526.528.809.6932.369.896.7016.2016.25-24.52-33.58-35.50-61.30-95.35-116.30-154.61-13.32-329.62-437.78-1,115.25-78.72441267234
-2.86-0.940.32-0.27-1.93-0.150.301.78-0.551.87-3.3716.301.13-5.31-4.642.76-2.97-1.02-0.660.48-2.48-2.600.805.911.032.200.450.182.27-14.07-12.49-1.190.620.631.703.011.321.932.6110.444.973.378.166.76-10.98-13.19-13.26-18.96-18.77-18.89-19.83-2.72-23.50-23.24-26.11-6.77-19.73-22.66-22.84
-5.72-1.790.70-0.66-4.70-0.360.675.75-0.803.31-5.8328.922.84-13.65-9.946.43-6.72-2.55-1.852.04-11.47-10.901.9520.484.7711.704.590.9610.89-104.19-65.49-6.773.072.917.0311.454.626.436.9627.587.054.6711.4212.31-16.63-21.29-21.92-34.68-33.14-35.12-38.23-5.22-50.06-50.21-58.09-17.73-58.55-70.16-71.05
6.536.936.806.756.506.776.606.386.536.786.467.802.822.233.184.273.133.352.08-0.19-0.50-0.030.43-1.81-3.95-4.48-6.28-6.10-5.69-7.86-4.2525.9329.8031.7533.8435.4136.5236.7436.1846.9837.0337.1836.6144.5028.2322.1219.3115.2910.258.116.2311.583.152.300.995.27-2.47-4.41-4.98
-2.15-1.95-1.19-12.91-13.10-12.64-2.0911.6818.046.376.690.172.250.02-0.394.588.951.17-1.669.777.6710.833.50-15.16-19.16-3.73-0.42-5.861.860.45-0.4124.458.519.248.2953.3416.9613.4134.4522.6118.3642.1438.33-23.86-10.32-2.14-2.2635.829.0536.1233.5861.8412.9854.3248.0332.716.3428.0621.96
-2.15-1.96-1.19-12.93-13.19-12.69-2.1011.5617.916.296.660.122.22-0.01-0.404.548.871.15-1.679.467.4810.703.48-12.34-16.28-0.812.29-6.051.700.32-0.4922.037.777.507.1649.1315.5612.4733.5422.5318.3042.1438.33-24.02-10.36-2.16-2.2935.829.0136.0133.2961.8212.9754.3248.0332.576.3127.9621.91