ScanSource Financial Ratios for Analysis 2009-2024 | SCSC

Fifteen years of historical annual and quarterly financial ratios and margins for ScanSource (SCSC).

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
2024202320222021202020192018201720162015201420132012201120102009
2.102.111.871.661.672.111.921.952.102.082.432.442.072.112.322.52
0.130.260.240.160.240.260.220.100.090.010.010.010.010.090.060.06
0.160.360.340.200.320.360.290.120.100.010.010.010.010.110.060.07
12.2411.8612.0811.1311.6712.0911.6710.7510.0410.1610.3310.1810.0210.2910.3511.30
2.773.593.461.95-2.132.922.182.472.743.154.181.773.764.243.584.01
2.773.593.461.95-2.132.922.182.472.743.154.181.773.764.243.584.01
3.644.364.323.03-0.963.963.283.183.233.534.442.084.094.493.874.38
3.063.223.361.83-2.362.571.992.842.713.104.231.843.694.203.584.09
2.362.372.520.34-6.321.771.051.941.802.032.811.202.462.762.312.58
1.831.831.821.881.801.571.632.082.372.182.182.472.512.262.462.47
5.584.415.055.965.925.164.695.995.705.235.186.425.565.125.477.56
5.615.034.845.546.886.214.905.606.336.166.276.616.585.775.916.35
65.1172.5875.4365.9153.0858.7974.5265.1957.6959.2658.1855.1955.4863.2561.7457.48
8.349.7311.006.21-11.687.104.098.278.218.0910.194.9811.3912.5210.0310.71
11.3314.2117.4711.14-23.1413.458.2212.9510.099.4010.845.2212.4113.9210.7711.59
4.334.264.582.72-4.683.141.824.034.274.436.132.986.186.225.686.37
7.277.178.325.24-8.915.243.187.417.478.0310.124.9411.2911.419.4410.02
38.1236.4432.0228.6826.7435.9833.8532.9230.2428.6728.1224.8823.6321.6718.2316.77
14.74-1.41-4.834.587.170.621.233.721.962.621.674.622.160.39-2.915.39
14.40-1.80-5.094.486.920.400.953.371.501.901.284.451.70-0.15-3.125.29

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
2.102.202.302.152.112.122.052.001.871.761.791.811.661.801.621.491.671.861.851.922.112.062.031.851.922.092.151.941.952.051.991.912.102.202.102.072.082.362.402.332.432.552.482.302.442.472.392.212.072.222.182.152.112.452.392.352.322.622.352.482.522.68
0.130.130.140.210.260.260.300.280.240.170.200.200.160.220.170.170.240.260.270.290.260.280.290.240.220.240.300.250.100.120.150.180.090.090.130.110.010.010.010.010.010.010.010.010.010.010.040.030.010.070.140.110.090.050.070.060.060.060.060.060.060.07
0.160.150.180.270.360.350.440.390.340.230.260.260.200.290.220.220.320.360.390.410.360.380.410.320.290.320.420.340.120.140.180.210.100.110.150.120.010.010.010.010.010.010.010.010.010.010.040.030.010.070.170.140.110.060.080.060.060.060.060.070.070.07
13.0412.5511.3912.1511.4712.6211.4112.0211.5112.5912.4611.8411.2312.0710.6110.6711.6511.3611.9311.6914.8412.3111.5211.5314.9011.6010.9411.4611.0011.3910.899.829.4310.5810.1310.0510.6610.489.689.819.7610.7410.4310.4510.6210.089.9410.099.799.7910.2010.2710.1210.7310.3310.009.7610.9610.2710.5312.1212.19
2.932.333.032.752.883.873.903.702.853.893.653.542.732.662.110.22-17.821.402.252.327.352.102.842.206.762.002.160.822.412.462.572.452.162.713.212.812.922.823.223.665.333.763.713.86-2.863.043.273.573.753.044.104.113.984.154.913.923.603.833.313.624.533.88
2.932.333.032.752.883.873.903.702.853.893.653.542.732.662.110.22-17.821.402.252.327.352.102.842.206.762.002.160.822.412.462.572.452.162.713.212.812.922.823.223.665.333.763.713.86-2.863.043.273.573.753.044.104.113.984.154.913.923.603.833.313.624.533.88
--------------------------------------------------------------
3.042.394.532.192.483.383.583.422.723.853.523.432.702.591.94-0.02-17.751.141.951.976.511.772.551.986.461.761.970.732.552.413.952.442.122.673.182.802.912.603.213.695.393.803.753.89-2.763.103.313.643.793.084.183.643.924.094.923.853.613.813.353.584.533.80
2.161.703.701.761.992.402.542.552.072.782.692.572.781.79-1.75-1.56-34.140.231.381.373.431.311.911.473.331.190.770.452.071.532.551.591.471.762.081.841.921.702.082.433.582.482.472.66-1.872.052.192.402.622.082.732.392.682.703.162.482.412.422.162.242.832.37
0.420.420.500.460.460.450.470.470.500.460.490.510.510.460.510.440.380.360.370.380.160.430.500.480.160.460.510.470.530.500.540.530.590.550.640.560.580.570.600.580.570.550.600.580.610.590.620.610.630.590.620.630.620.640.720.700.680.630.660.630.590.56
1.271.241.361.171.111.031.181.231.391.251.351.531.611.401.721.601.240.990.981.040.521.031.311.280.451.391.581.371.541.401.571.481.421.261.481.331.381.411.411.441.361.271.421.511.581.511.421.401.391.271.361.441.411.361.571.651.521.411.591.621.791.57
1.281.281.331.271.261.291.301.271.321.321.411.451.501.431.521.491.441.201.281.190.641.411.481.440.481.351.441.401.441.441.461.461.571.531.691.481.641.571.641.581.631.631.691.651.641.581.611.571.651.591.591.611.591.601.641.531.631.491.491.511.521.51
70.1570.5467.4271.0471.5769.5769.3871.0468.2268.3463.8761.8760.0662.8159.3360.5862.6774.7970.4875.4514063.7260.9662.6718666.7362.5564.3862.5362.5361.7361.5557.3958.9253.3160.7754.9057.4554.7356.8455.1355.3353.2754.5154.9456.8355.8857.5054.6856.6056.5355.9356.5956.2854.7458.6555.2960.3060.4359.5159.3659.74
1.741.363.431.691.892.412.982.912.472.923.012.962.832.001.62-0.02-16.050.641.251.362.061.292.221.631.461.210.930.492.271.542.931.921.671.852.742.092.031.622.052.373.382.192.442.69-1.911.972.352.613.032.303.473.083.352.944.043.062.892.512.522.382.812.16
2.371.844.672.422.763.594.504.483.934.725.075.145.073.783.16-0.03-31.791.342.642.943.912.554.503.292.942.471.951.053.552.474.783.212.052.293.352.562.361.762.192.533.592.292.542.81-2.002.132.542.843.312.523.813.393.723.134.313.283.102.702.712.573.042.34
0.900.721.840.810.831.071.211.201.031.281.311.301.240.870.69-0.01-6.430.280.530.550.910.570.950.710.650.550.400.211.100.761.370.850.870.981.331.041.110.961.251.412.031.351.481.55-1.141.211.361.461.651.221.681.511.661.712.271.741.631.531.431.401.671.33
1.521.182.941.341.391.792.082.091.872.412.422.362.381.561.34-0.01-12.240.470.910.971.520.931.571.241.140.920.650.362.031.352.481.581.521.682.381.872.021.612.042.353.352.182.422.67-1.901.952.262.543.012.142.982.733.052.783.742.892.722.362.362.242.632.02
38.1238.2137.9136.6736.4435.1534.0332.7832.0231.7229.9529.2328.6827.1226.8026.4726.7435.4236.6035.8835.9835.4435.0034.2833.8534.3333.6633.5332.9231.9531.1930.7430.2429.5228.5728.2428.6727.9428.5728.3828.1227.1026.3925.7724.8825.4725.0524.4523.6323.3222.5121.9921.6720.8319.9219.2218.2317.9517.6717.2616.7716.11
14.7412.466.193.71-1.41-0.81-2.95-1.90-4.83-1.77-2.91-2.224.582.174.542.817.174.263.261.080.62-0.95-2.010.221.23-0.24-3.40-1.463.723.311.410.241.960.94-1.50-2.072.620.94-0.340.021.671.140.051.624.622.71-0.360.092.160.90-0.82-1.220.39-0.06-1.22-0.71-2.91-3.15-2.90-1.505.394.93
14.4012.176.003.62-1.80-1.06-3.12-1.93-5.09-1.90-3.01-2.264.482.084.482.786.924.003.151.040.40-1.38-2.240.180.95-0.45-3.53-1.513.373.061.280.171.500.59-1.63-2.081.900.25-0.81-0.231.280.900.031.614.452.55-0.470.011.700.53-1.02-1.30-0.15-0.43-1.43-0.78-3.12-3.29-2.92-1.505.294.83