Stifel Financial Financial Ratios for Analysis 2009-2024 | SF

Fifteen years of historical annual and quarterly financial ratios and margins for Stifel Financial (SF).

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
0.820.820.810.760.740.750.690.710.770.740.650.630.630.710.86
0.230.210.240.240.320.420.450.420.350.240.250.290.110.130.19
0.390.350.460.430.651.031.080.990.750.570.590.840.480.400.66
98.6698.6898.7498.5198.6898.6198.4998.2898.1898.3498.1198.1498.1898.1097.85
16.2520.1622.5317.3517.9517.679.215.546.0713.179.3914.419.92-0.0211.04
16.2520.1622.5317.3517.9517.679.215.546.0713.179.3914.419.92-0.0211.04
21.6925.0426.6522.2923.4622.6614.4111.9310.5218.2515.4321.2017.266.3616.57
16.2520.1622.5317.3517.9517.679.215.546.0713.179.3914.419.92-0.0211.04
11.1614.2316.6612.6912.9212.715.933.013.967.978.218.696.040.146.95
0.120.120.140.140.140.120.140.130.180.230.220.230.280.330.34
---------------
3.463.272.742.531.691.761.591.061.061.952.172.091.711.911.57
105112133145217207230346345188169175213192232
11.3414.2618.9613.5913.3912.936.743.153.707.718.409.726.470.158.68
13.8517.1023.0417.2719.4519.2810.264.916.1012.1713.4913.899.270.2111.11
1.391.782.421.891.831.610.860.430.691.881.922.091.700.052.39
7.599.8612.518.998.357.123.531.722.415.846.336.915.750.137.02
52.3950.5848.1841.0935.8130.1126.9227.3924.7923.3421.5318.1516.2116.5212.78
4.409.857.3614.505.324.345.59-3.79-2.222.186.37-2.800.481.64-4.78
3.949.157.0213.863.983.635.36-4.04-2.811.956.08-3.00-0.151.31-5.16

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
0.820.840.840.840.830.830.830.820.820.810.830.810.770.770.750.760.770.770.740.740.740.740.720.750.720.700.700.690.670.690.690.710.720.760.750.770.910.870.750.740.750.700.670.650.630.590.640.630.590.680.640.630.620.700.710.710.760.800.890.860.981.041.10
0.190.250.230.230.230.220.230.210.220.230.260.240.230.260.240.240.290.340.370.320.350.390.390.420.470.470.470.450.390.410.430.420.410.480.450.350.290.260.250.240.280.240.240.250.260.250.230.290.190.230.230.110.100.090.150.130.130.130.170.190.130.170.12
0.380.450.430.390.410.400.420.350.400.460.530.460.450.540.470.430.560.670.770.650.790.910.921.031.171.201.211.080.900.951.020.990.941.181.080.750.620.790.570.570.680.810.850.590.660.850.910.840.560.810.640.480.570.500.690.400.580.600.820.660.690.770.81
98.6796.0498.6410198.6295.7298.7098.8298.7098.6498.5898.8398.7198.7998.6298.8098.5098.3198.3798.7898.7298.6398.5898.5998.4698.6498.7598.6498.4498.4598.4198.5498.3298.1498.1198.1397.9098.4798.2198.5698.1098.3598.3598.5097.8898.0297.9998.4298.1197.9398.1098.6697.7998.0898.1998.1897.6698.3998.1698.0497.7697.5898.02
17.6918.6318.8017.9710.4717.2618.9620.8419.6919.7220.3424.4322.4022.9020.0822.1417.9315.9612.6117.2218.3518.4817.8919.6519.0315.9315.93-0.1015.0011.4711.708.304.362.427.081.913.786.3712.4912.6612.5613.2914.1613.866.4810.655.3916.1514.7711.7214.8013.3711.681.0813.8216.64-41.8810.9612.6812.9310.649.9810.07
17.6918.6318.8017.9710.4717.2618.9620.8419.6919.7220.3424.4322.4022.9020.0822.1417.9315.9612.6117.2218.3518.4817.8919.6519.0315.9315.93-0.1015.0011.4711.708.304.362.427.081.913.786.3712.4912.6612.5613.2914.1613.866.4810.655.3916.1514.7711.7214.8013.3711.681.0813.8216.64-41.8810.9612.6812.9310.649.9810.07
---------------------------------------------------------------
17.6918.6318.8017.9710.4717.2618.9620.8419.6919.7220.3424.4322.4022.9020.0822.1417.9315.9612.6117.2218.3518.4817.8919.6519.0315.9315.93-0.1015.0011.4711.708.304.362.427.081.913.786.3712.4912.6612.5613.2914.1613.866.4810.655.3916.1514.7711.7214.8013.3711.681.0813.8216.64-41.8810.9612.6812.9310.649.9810.07
12.1812.8113.2613.365.6311.9013.3914.9213.5713.6714.7119.3315.9616.4614.5217.0612.5211.508.9513.3312.7312.9612.5714.0813.7511.4411.52-0.548.906.959.353.712.531.504.361.922.903.497.687.827.627.788.678.5814.565.963.339.869.116.988.698.106.670.958.5610.31-24.786.447.617.727.646.055.99
0.030.030.030.030.030.030.030.030.030.030.030.040.040.040.040.040.030.040.040.040.030.030.030.030.030.030.030.040.040.040.040.030.040.040.040.040.060.060.060.060.060.060.060.060.060.060.050.060.070.060.070.070.070.080.080.100.080.100.100.100.100.110.11
---------------------------------------------------------------
0.830.960.760.910.840.880.780.840.590.640.560.760.710.570.640.710.590.550.420.480.400.380.390.460.350.350.380.440.440.420.360.270.320.340.290.260.440.380.570.510.440.430.490.620.450.380.410.530.570.430.500.410.440.450.450.550.460.510.470.460.450.350.49
10993.5411998.58108103115108153140161119127158140126153162214189227238230195258256238206203214252332279265305341207240159177206208184146201235220170159211181219205201199163196175192195201258184
3.253.513.563.531.502.883.393.803.333.623.976.014.684.984.575.093.453.222.743.893.393.463.183.743.453.113.21-0.072.391.962.491.040.700.391.120.450.690.831.822.071.792.012.262.533.761.630.783.142.621.912.592.091.770.262.443.30-6.962.282.602.822.662.252.09
3.924.254.354.311.833.504.134.564.014.374.817.305.536.205.776.464.464.234.065.654.824.754.415.585.154.714.89-0.113.593.003.881.621.110.692.000.741.111.332.863.262.803.133.584.076.122.751.314.493.622.673.652.992.420.363.304.51-9.622.863.293.623.362.862.73
0.410.440.430.430.180.360.410.470.400.440.490.770.620.670.610.710.470.420.330.530.460.450.410.470.440.390.41-0.010.320.270.340.140.100.060.190.080.180.210.460.500.430.460.500.580.860.360.180.670.610.430.640.550.450.080.690.98-2.020.630.740.780.770.690.65
2.302.312.382.361.001.972.272.632.272.422.563.963.103.253.043.362.121.831.582.432.021.931.772.061.751.571.62-0.041.381.091.350.570.390.200.620.290.490.621.371.571.301.521.721.912.791.230.602.232.121.472.001.851.600.242.082.86-6.051.982.152.282.301.881.83
54.3152.6651.3852.3950.8450.9450.1850.5849.2148.2747.4048.1845.9543.0041.0541.0939.1637.7633.7735.8134.4433.2932.2330.1128.8727.6327.0526.9228.5727.7827.0627.3927.1024.9424.2524.7924.4224.2323.2223.3422.6122.1221.3921.5320.9720.0320.0818.1517.7317.0816.7116.2116.3516.3616.2516.5216.0513.3013.0712.7812.2311.0010.25
-1.84-3.65-5.544.401.98-0.06-3.349.852.56-2.03-5.727.364.82-3.68-4.4114.5011.738.07-0.055.320.28-2.62-3.094.34-0.39-1.76-3.035.597.384.482.17-3.79-1.54-3.79-0.54-2.22-0.01-4.90-2.592.18-0.47-3.49-2.986.373.840.810.54-2.80-0.54-3.22-2.020.48-1.37-0.81-2.661.64-0.500.30-1.01-4.78-4.91-7.01-4.91
-1.95-3.71-5.633.941.64-0.29-3.479.152.17-2.26-5.837.023.36-3.89-4.5113.8611.117.54-5.283.98-0.71-3.47-3.703.63-0.54-1.86-3.075.367.204.342.11-4.04-1.73-3.91-0.62-2.81-0.53-5.18-2.771.95-0.67-3.60-3.046.083.650.690.50-3.00-0.68-3.31-2.06-0.15-1.71-1.09-2.851.31-0.730.15-1.09-5.16-5.20-7.16-4.97