Sea Financial Ratios for Analysis 2015-2024 | SE

Fifteen years of historical annual and quarterly financial ratios and margins for Sea (SE).

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
202320222021202020192018201720162015
1.441.832.111.931.871.442.701.170.94
0.310.360.320.350.541.290.60--
0.500.600.480.541.18-4.441.53-0.01-
44.6641.6539.1330.8327.811.7821.0832.7136.91
1.72-11.95-15.90-29.79-40.97-119.57-121.29-59.42-28.43
1.72-11.95-15.90-29.79-40.97-119.57-121.29-59.42-28.43
5.14-8.45-12.09-23.64-33.85-108.33-111.41-47.97-18.42
3.31-12.05-17.23-33.90-62.91-115.35-132.43-56.96-29.94
1.15-13.26-20.56-36.98-67.24-116.24-135.32-64.47-35.38
0.690.730.530.420.420.380.210.710.68
57.6666.2451.5747.1358.3121.5533.3958.9345.10
23.6244.1124.6211.4411.348.036.469.147.20
15.458.2714.8331.9032.1845.4656.4739.9250.67
2.43-28.53-27.52-47.49-124.31401-118.11179-145.64
2.49-30.06-29.90-51.33-129.38339-137.93145-469.93
0.86-9.75-10.89-15.53-27.90-43.83-28.22-46.31-24.97
1.67-18.12-18.74-30.87-57.63-116.72-46.68179-145.64
11.7010.2913.316.682.53-0.701.42-0.710.42
3.50-1.890.391.160.16-1.46-1.26-0.67-0.15
3.20-3.33-1.060.46-0.39-1.99-1.59-0.77-0.31

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302015-12-31
1.621.491.461.441.701.751.871.831.781.922.022.112.491.601.781.931.471.761.67-2.261.441.912.542.182.701.932.60----
0.270.290.300.310.340.340.350.360.460.430.400.320.310.260.340.350.710.700.59-0.281.290.980.830.720.602.611.81----
0.400.440.470.500.540.530.560.600.850.770.660.480.450.360.510.542.492.361.42-0.38-4.4439.634.952.531.53-1.63-2.25----
43.0041.6341.6142.1643.5446.8746.5849.1738.9037.0540.3540.6837.5140.8236.6034.0733.6222.7728.9322.3411.21-2.812.744.675.5018.9011.5025.4528.85-35.10-
4.682.181.90-1.56-3.869.174.129.93-15.71-28.43-17.18-13.72-17.05-14.65-19.76-22.81-25.20-42.27-37.45-53.77-67.98-114.74-120.14-119.45-127.77-153.40-170.80-81.21-72.42--58.45-
4.682.181.90-1.56-3.869.174.129.93-15.71-28.43-17.18-13.72-17.05-14.65-19.76-22.81-25.20-42.27-37.45-53.77-67.98-114.74-120.14-119.45-127.77-153.40-170.80-81.21-72.42--58.45-
--------------------------------
5.823.661.43-0.69-2.4712.644.8610.95-16.00-29.55-17.39-15.92-17.53-15.75-21.07-30.75-31.34-41.40-35.88-60.47-193.82-96.03-105.06-136.18-139.54-203.38-143.38-88.29-75.06--62.73-
3.542.10-0.63-3.44-4.3510.692.9012.43-18.04-31.65-20.00-19.23-21.23-19.01-23.97-33.09-35.08-44.55-39.38-64.22-196.20-97.74-106.39-136.46-139.07-210.63-141.17-90.72-77.80--71.73-
0.200.190.200.190.180.180.180.200.180.170.160.170.150.200.160.150.170.130.14-0.090.130.090.080.080.060.080.10----
12.2914.1115.3316.6816.0716.7015.1416.0015.7514.5712.3816.2713.0613.5712.0716.0813.0511.1314.85-12.077.7310.1910.3610.9510.3211.4513.24----
7.375.825.566.5416.3515.5314.2612.2312.6010.429.777.977.005.755.164.104.103.464.37-2.322.753.083.012.121.941.592.12----
12.2115.4716.1813.765.505.796.317.367.148.649.2111.3012.8515.6517.4621.9721.9725.9820.59-38.7632.7329.2329.8842.4646.2956.6442.44----
1.911.15-0.34-1.67-2.195.001.417.28-11.49-17.13-9.22-8.30-7.31-12.05-12.27-15.33-55.05-44.10-29.04--44.96115-773.99-108.36-73.39-55.3831.9133.02----
1.941.17-0.35-1.71-2.255.141.457.67-12.72-18.73-10.24-9.02-7.84-14.08-14.40-16.58-80.45-62.27-39.90--46.3197.45766-146.75-93.99-64.6827.1530.38----
0.710.41-0.12-0.59-0.801.880.512.49-3.29-5.33-3.16-3.29-3.08-3.76-3.86-5.02-6.11-5.96-5.37--17.56-12.59-9.68-10.65-10.97-13.23-11.85-8.66----
1.400.81-0.24-1.14-1.443.310.924.62-6.25-9.69-5.54-5.65-5.05-8.88-8.12-9.97-15.79-13.11-11.99--32.58-33.53-19.05-18.21-20.78-21.89-51.45-26.64----
-------10.29---13.31-6.69-6.68-1.832.07---0.70---1.42------
3.531.900.823.503.251.961.01-1.890.00-2.17-1.300.390.950.860.621.160.600.16-0.140.02-0.05-1.46-1.06-0.84-0.28-1.26-0.97-0.66-0.340.00-0.420.00
3.531.900.823.203.251.961.01-3.330.00-2.17-1.30-1.060.950.860.620.460.60-0.06-0.140.02-0.28-1.99-1.06-0.84-0.28-1.59-0.97-0.66-0.34--0.42-