Superior Group Of Financial Ratios for Analysis 2009-2024 | SGC

Fifteen years of historical annual and quarterly financial ratios and margins for Superior Group Of (SGC).

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
2.783.732.692.373.054.253.313.924.224.474.906.626.347.037.73
0.310.440.310.270.400.420.210.250.190.220.25-0.01--
0.470.810.510.460.760.780.310.380.260.310.36-0.01--
37.4633.4134.6435.8434.2335.1436.1134.4433.9635.0334.6933.2835.8335.3932.31
3.59-5.356.409.745.237.109.208.159.239.185.734.925.005.452.74
3.59-5.356.409.745.237.109.208.159.239.185.734.925.005.452.74
6.164.828.1311.287.429.3911.3110.1011.0711.137.446.847.657.865.61
1.80-6.576.179.774.066.189.297.888.988.935.603.874.975.432.62
1.61-5.525.487.793.204.905.635.806.215.783.862.543.683.601.91
1.291.271.141.341.051.031.221.281.391.401.211.511.391.431.40
3.463.082.913.763.383.202.622.392.182.192.002.031.752.202.17
5.235.354.775.104.665.275.095.626.346.125.646.085.715.955.73
69.7468.1976.5471.5678.3269.3071.7164.8957.5859.6964.7360.0363.9561.3563.71
4.44-16.6012.9721.417.6611.2512.0213.2414.1014.118.135.256.786.233.27
5.99-23.3623.1642.4020.5533.5218.8119.2517.5818.9211.835.307.096.333.34
2.08-7.006.2610.413.365.076.867.448.618.114.663.845.115.132.67
3.06-9.298.9815.544.616.479.519.9711.4811.016.075.256.706.233.27
11.9311.7614.0712.4510.359.938.297.626.665.955.524.725.095.135.08
4.88-0.171.062.671.311.281.500.800.680.510.660.75-0.070.541.45
4.58-0.56-0.042.240.680.971.410.310.130.160.530.61-0.140.481.38

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
2.862.823.032.783.163.353.543.733.603.012.952.692.762.942.822.372.222.332.863.053.193.403.464.254.184.764.323.314.004.044.273.923.813.734.754.223.793.944.514.474.276.276.024.904.246.957.286.627.157.207.886.345.796.897.467.036.687.567.987.738.088.368.43
0.280.260.300.310.350.390.420.440.450.400.330.310.270.310.320.270.250.290.360.400.400.410.400.420.430.460.220.210.210.230.240.250.260.260.290.190.190.190.230.220.220.310.300.250.270.070.00--0.010.020.010.01----------
0.420.390.450.470.550.650.740.810.850.730.560.510.430.530.550.460.420.490.640.760.760.800.770.780.780.880.330.310.310.340.370.380.410.420.480.260.260.270.340.310.310.480.460.360.400.080.00--0.010.020.010.01----------
40.4538.5339.8437.7939.0836.8536.0230.1536.5132.5434.6730.9837.1536.0634.8235.7237.1535.1035.4932.1635.1535.0534.9735.5235.2635.5434.0335.8536.5835.6336.4234.1035.4533.6634.5433.6233.9334.2434.0834.6935.2535.7134.2633.0534.0436.2336.5134.1732.7932.9433.1934.0836.4336.1036.6235.4636.4235.2434.3832.3032.4833.1631.23
5.441.664.594.234.223.102.69-0.03-10.93-15.434.903.308.354.499.599.629.6512.126.024.536.395.324.797.298.587.114.929.6810.418.997.509.349.467.436.149.0710.0810.217.259.5510.1611.234.815.785.036.735.676.635.555.371.922.288.495.233.515.517.295.783.122.676.254.19-2.80
5.441.664.594.234.223.102.69-0.03-10.93-15.434.903.308.354.499.599.629.6512.126.024.536.395.324.797.298.587.114.929.6810.418.997.509.349.467.436.149.0710.0810.217.259.5510.1611.234.815.785.036.735.676.635.555.371.922.288.495.233.515.517.295.783.122.676.254.19-2.80
---------------------------------------------------------------
4.390.493.312.832.411.070.720.79-12.23-19.594.693.098.094.239.3910.939.4611.844.903.725.183.963.446.007.606.194.549.4310.108.698.869.079.207.145.888.839.859.976.959.299.8811.024.585.604.826.705.642.665.535.341.882.268.465.213.495.487.265.763.112.576.154.09-2.96
3.610.462.822.422.290.940.681.48-9.17-18.033.643.096.654.887.448.637.789.523.572.764.383.012.754.836.394.633.352.607.326.626.296.876.815.124.216.337.116.704.415.756.447.342.973.683.414.663.971.564.063.331.152.666.123.392.233.635.033.691.961.934.552.81-2.12
0.370.330.340.350.320.300.290.330.300.310.300.300.290.300.340.370.350.440.270.300.260.270.250.280.290.250.310.330.330.330.310.330.340.340.310.350.370.370.320.360.380.380.310.360.350.350.390.390.380.370.360.340.380.360.360.350.370.360.350.360.370.340.32
0.950.870.900.930.790.710.680.830.650.790.720.810.750.851.051.041.001.430.821.000.880.950.860.870.950.781.330.720.650.620.550.620.640.680.600.560.600.590.510.560.610.600.490.620.610.500.500.520.500.480.470.440.500.510.550.540.560.540.500.560.600.470.41
1.511.421.481.421.381.331.371.371.301.291.281.261.301.251.341.411.461.811.271.341.161.271.331.441.431.251.451.381.511.521.651.441.481.651.381.601.491.641.461.551.571.541.451.691.551.511.501.581.521.481.441.381.371.090.981.461.411.281.211.481.321.371.30
59.4263.2860.8463.2665.0467.6165.5665.4969.4169.7270.3971.3569.2171.9767.4063.9361.6549.6370.8767.1077.3270.6167.6362.3063.1571.8762.0465.1159.6559.0354.4862.4860.9154.6064.9956.1360.5954.9961.4958.1157.2958.5162.0353.1858.2059.4559.9256.9759.2260.9362.4265.0565.7182.9092.0761.6863.8470.2974.6060.9268.1265.7669.21
2.710.301.951.801.600.630.461.14-6.73-13.132.251.933.682.965.206.545.428.702.131.902.511.801.573.044.062.621.761.513.983.683.364.024.123.192.433.634.434.142.473.554.165.071.662.332.252.262.050.841.981.580.531.192.931.480.951.542.241.630.850.852.101.18-0.84
3.570.402.602.432.180.870.641.60-9.64-21.663.923.456.575.4910.3212.9611.3219.515.555.096.925.214.549.0512.348.692.592.365.545.124.795.846.124.893.814.535.585.323.244.765.617.032.373.393.452.272.070.852.051.640.551.243.081.561.011.572.281.660.860.872.111.19-0.85
1.330.150.960.840.740.280.200.48-2.72-5.631.080.931.941.492.523.182.714.240.980.831.120.800.701.371.831.141.040.862.422.191.952.262.281.761.322.222.652.461.422.042.472.800.921.331.181.651.530.611.541.220.410.902.331.220.801.271.861.330.690.701.670.94-0.68
1.940.221.371.241.040.380.270.64-3.68-7.931.511.342.702.033.544.754.066.211.361.141.511.060.941.752.331.421.371.193.152.852.563.033.042.351.722.963.593.361.892.773.253.491.161.741.642.092.050.841.981.570.521.182.901.480.951.542.241.630.850.852.101.18-0.84
12.2211.9611.9911.9311.8211.7111.6811.7611.5812.4514.3814.0713.9613.6112.9212.4511.9711.4510.4110.3510.2610.109.969.939.859.519.188.298.398.007.807.627.477.197.036.666.576.346.095.956.025.805.575.525.295.204.894.725.165.105.085.095.365.265.245.135.185.125.105.084.994.934.93
1.480.970.574.883.682.361.55-0.17-0.28-0.49-0.541.061.13-0.19-0.142.673.252.621.291.310.780.440.381.280.73-0.02-0.041.501.140.570.470.800.440.54-0.190.680.380.38-0.080.510.29-0.66-0.540.660.750.260.030.750.400.200.05-0.07-0.19-0.22-0.350.540.590.27-0.131.451.300.940.46
1.300.850.534.583.432.141.42-0.56-0.99-0.93-0.80-0.040.23-0.89-0.562.242.892.301.150.680.360.120.260.970.48-0.17-0.111.411.170.620.600.310.000.17-0.370.130.100.24-0.140.16-0.01-0.74-0.590.530.660.18-0.020.610.340.150.01-0.14-0.25-0.27-0.380.480.540.21-0.171.381.260.940.47