Singularity Future Technology Financial Ratios for Analysis 2009-2024 | SGLY

Fifteen years of historical annual and quarterly financial ratios and margins for Singularity Future Technology (SGLY).

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
3.423.622.518.770.333.043.385.433.554.234.031.621.222.062.26-
-0.360.13-------------
-0.560.15-------------
-15.2512.08-3.713.4343.7113.8032.4356.4848.8747.5634.6211.137.9610.0711.81-
-188.80-321.56-568.92-209.49-271.39-14.293.5527.09-17.098.982.58-12.71-8.63-4.77-4.43-
-188.80-321.56-568.92-209.49-271.39-14.293.5527.09-17.098.982.58-12.71-8.63-4.77-4.43-
-184.59-317.94-555.54-201.08-265.24-13.983.9627.53-16.2710.443.91-11.57-7.91-4.01-3.65-
-174.44-505.92-725.31-219.36-271.46-14.586.3927.36-20.379.464.42-12.50-8.66-4.04-4.51-
-162.86-506.68-708.50-211.61-251.73-15.641.9931.67-26.896.3413.62-10.38-5.22-2.62-4.84-
0.170.240.060.111.142.030.880.640.810.962.042.303.203.642.61-
----------------
11.7116.4829.8944.485.423.672.714.392.793.4617.745.288.1314.5412.20-
31.1622.1412.218.2167.4099.4513483.1413110620.5769.1744.8925.1129.92-
-41.29-257.77-85.62-26.645,009-45.652.6824.46-34.786.519.69-82.29-110.57-24.23-8.56-
-41.28-257.77-85.62-26.644,665-45.922.7024.46-34.786.519.69-82.29-110.57-24.23-8.56-
-29.22-120.07-44.61-23.47-312.45-34.042.0020.23-25.425.457.60-34.19-26.60-13.85-5.22-
-41.28-165.45-74.58-26.645,009-45.652.6824.46-34.786.519.69-82.29-110.57-24.23-8.58-
3.780.5115.1928.04-0.9648.3674.5872.8839.9562.8743.9233.2843.8089.10--
-1.77-1.593.30-10.05-11.32-14.82-7.5216.73-0.70-13.95-13.16-46.363.20-15.96-17.500.00
-1.77-1.592.81-11.80-11.32-15.31-10.9416.381.00-13.98-15.30-46.902.46-16.67-18.18-

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
3.423.941.502.293.622.203.512.742.511.9010.638.798.778.871.180.420.331.633.042.943.042.233.784.173.385.775.134.835.434.363.614.103.553.815.915.154.235.996.615.514.033.433.041.691.621.091.101.201.221.231.411.802.061.971.932.032.262.152.332.48--
----0.36--0.140.130.120.17---------------------------------------------------
----0.560.380.180.160.150.130.20---------------------------------------------------
-10.58-59.90-1.63-11.951.95-16.8612.0638.94-0.417.251.63-28.297.21-15.2910.403.661.7434.3362.6161.7434.917.4618.6321.7829.2634.5135.3331.8631.0058.7983.5284.2536.4547.1355.7254.0447.2951.6945.8445.9332.5854.6729.5928.0358.2014.766.599.699.965.227.119.7611.059.879.829.8110.8313.4511.3612.10100.00100.00
-115.43-313.15-127.38-260.94-410.90-491.83-247.24-228.30-473.90-965.34-254.73-632.96-498.59-314.67-62.40-65.90-905.68-297.99-16.48-51.54-111.33-5.40-11.21-20.84-1.025.42-6.0917.2510.2135.0044.8536.660.08-56.29-69.0719.0115.829.362.917.705.133.362.20-0.52-143.83-9.57-10.60-4.05-6.58-8.31-12.25-7.54-10.37-3.43-3.66-3.02-8.78-3.47-3.33-2.26100.00100.00
-115.43-313.15-127.38-260.94-410.90-491.83-247.24-228.30-473.90-965.34-254.73-632.96-498.59-314.67-62.40-65.90-905.68-297.99-16.48-51.54-111.33-5.40-11.21-20.84-1.025.42-6.0917.2510.2135.0044.8536.660.08-56.29-69.0719.0115.829.362.917.705.133.362.20-0.52-143.83-9.57-10.60-4.05-6.58-8.31-12.25-7.54-10.37-3.43-3.66-3.02-8.78-3.47-3.33-2.26100.00100.00
--------------------------------------------------------------
-110.31-217.08-121.57-269.55-405.56-1,584.75-251.31-233.12-472.32-969.65-846.08-639.38-505.01-369.17-57.85-65.84-846.19-296.42-17.25-97.89-117.63-5.39-11.20-20.832.588.69-3.4518.8312.1136.2540.6936.480.43-50.19-81.6214.6718.8511.791.675.318.564.074.070.20-148.67-9.65-10.02-3.62-5.85-8.53-10.33-9.89-9.39-3.19-2.90-2.11-11.96-2.33-4.092.42100.00100.00
-90.99-212.68-115.55-255.62-399.11-1,568.98-250.35-252.57-440.65-970.42-840.81-607.98-474.44-365.22-58.53-64.55-771.13-281.99-20.15-91.11-118.72-6.10-14.02-20.26-7.451.635.7011.4717.1147.1341.9533.214.74-62.89-93.876.82-3.3113.894.4112.7612.9115.5920.198.30-169.11-7.12-4.53-2.41-2.82-5.24-4.92-7.75-6.87-1.68-1.25-1.75-7.24-0.38-5.911.55-4.473.00
0.040.020.090.080.060.030.040.020.020.010.020.020.020.020.180.180.240.080.100.100.100.850.450.290.280.220.260.280.260.160.190.200.200.140.140.220.260.310.410.340.660.460.550.470.090.300.720.870.770.820.800.980.730.890.840.760.770.530.590.53--
-------------------------------------------------------17.20------
3.111.372.373.013.873.093.335.618.682.100.294.4410.161.331.021.041.140.160.140.130.171.610.860.580.851.061.141.221.771.381.152.010.700.590.520.830.950.931.561.825.733.822.970.970.210.401.041.871.963.102.823.792.923.023.453.713.611.763.402.67--
28.9365.7037.9229.9223.2329.0927.0416.0310.3642.8630720.258.8667.8088.1786.6679.0254765268351755.9110415610585.2378.7473.9050.7365.0778.5244.8812815417310995.2097.0757.5749.4015.7023.5430.3192.8643422786.5248.0745.9829.0031.9523.7730.8729.7826.1124.2624.9351.1226.4533.68--
-6.93-6.77-21.45-36.07-48.64-90.74-13.61-9.44-16.20-24.82-18.06-11.07-14.01-7.26-33.5826,1913,245-38.83-2.52-12.90-18.40-8.40-7.64-6.92-4.201.212.404.615.939.469.888.790.52-13.18-17.741.470.724.811.162.575.272.582.580.92-43.36-16.32-37.61-21.07-15.27-28.23-23.74-18.94-8.77-4.60-4.52-3.33-9.17-0.34-5.651.31--
-6.93-6.77-21.45-36.07-48.64-90.74-13.61-9.44-16.20-24.82-18.06-11.07-14.01-7.26-23.345,5793,022-38.98-2.53-12.97-18.51-8.46-7.69-6.97-4.231.222.434.615.939.469.888.790.52-13.18-17.741.470.724.811.162.575.272.582.580.92-43.36-16.32-37.61-21.07-15.27-28.23-23.74-18.94-8.77-4.60-4.53-3.34-9.17-0.34-5.651.31--
-4.91-5.06-11.38-20.91-22.66-50.20-9.65-5.15-8.44-10.54-13.51-9.72-12.34-6.47-10.26-11.62-202.40-25.26-1.84-9.36-13.72-5.51-6.15-5.77-3.141.001.933.704.917.387.226.720.38-9.88-14.811.260.604.101.012.184.141.911.830.41-18.02-2.68-6.36-4.89-3.67-6.93-8.23-9.42-5.01-2.51-2.43-1.88-5.59-0.20-3.460.83--
-6.93-6.77-21.45-36.07-31.22-90.74-13.61-8.14-14.11-21.93-14.99-11.07-14.01-7.26-23.3426,1703,245-38.83-2.52-12.90-18.40-8.40-7.64-6.92-4.201.212.404.615.939.469.888.790.52-13.18-17.741.470.724.811.162.575.272.582.580.92-43.36-16.32-37.61-21.07-15.27-28.23-23.74-18.94-8.77-4.61-4.53-3.34-9.19-0.34-5.651.31--
3.784.090.314.260.516.2512.3814.0415.1917.2727.6529.1828.0432.387.81-0.01-0.9629.8341.7540.6748.3657.3961.0768.5174.5878.6778.0876.9772.8869.1348.4343.8339.9540.1453.4963.0962.8755.7052.7151.9243.9235.6034.0433.3233.2822.2625.9136.1443.8046.9757.5475.1789.10---------
-1.77-1.52-0.34-1.14-1.59-1.52-0.93-1.493.306.78-3.48-0.08-10.05-5.61-6.15-1.04-11.32-10.26-9.14-8.23-14.82-10.90-17.13-22.21-7.52-3.74-6.05-4.0416.7317.3411.529.20-0.7014.82-4.10-1.59-13.95-15.08-7.824.43-13.16-6.67-3.64-10.95-46.36-69.62-60.14-20.533.2028.3111.02-6.55-15.89-8.693.975.20-17.03-32.30-0.08-10.470.000.00
-1.77-1.52-0.34-1.14-1.59-1.52-0.93-1.562.816.39-3.87-0.48-11.80-6.45-6.15-1.04-11.32-10.28-9.16-8.24-15.31-11.37-17.16-22.21-10.94-5.49-6.29-4.0616.3817.0411.529.201.0016.67-2.15-1.59-13.98-15.76-8.044.30-15.30-8.84-5.70-10.99-46.90-70.48-61.00-23.012.4627.5710.38-6.58-16.58-9.293.384.61-17.70-32.82-0.08-10.48--