SigmaTron Financial Ratios for Analysis 2009-2024 | SGMA

Fifteen years of historical annual and quarterly financial ratios and margins for SigmaTron (SGMA).

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
1.211.451.651.661.862.222.021.962.052.172.252.073.023.132.553.71
0.090.390.420.370.410.440.410.330.310.380.330.290.270.340.280.34
1.131.430.810.750.770.830.750.530.470.640.540.420.390.530.410.57
8.9712.4211.738.988.939.079.569.9410.059.5910.2610.049.7410.4011.2311.94
1.916.024.871.221.001.06-1.051.291.701.151.630.791.692.852.393.28
1.916.024.871.221.001.06-1.051.291.701.151.630.791.692.852.393.28
3.688.496.493.313.682.942.383.393.933.503.943.144.365.895.866.56
-0.744.156.170.760.390.30-1.550.991.370.741.250.411.062.102.752.16
-0.67-4.962.610.550.16-0.30-1.170.550.820.391.310.250.721.301.831.46
1.671.541.291.431.601.801.731.681.861.661.771.691.581.471.281.54
2.642.192.032.582.943.092.893.103.383.033.723.523.743.022.913.25
8.757.917.788.788.178.429.459.0113.2911.1011.329.845.476.264.887.81
41.7346.1646.9241.5844.6543.3738.6240.4927.4632.8832.2437.1166.6958.3474.8146.74
-3.7620.8520.792.550.75-1.48-5.512.253.471.595.270.952.223.984.714.31
-3.8221.2621.192.630.78-1.56-5.822.553.991.876.271.152.233.984.714.37
-1.115.286.250.790.25-0.54-2.010.921.520.652.330.421.141.922.352.24
-3.4312.7612.141.600.45-0.83-3.251.502.400.993.540.671.612.633.402.83
10.8011.1814.6614.1813.8813.7513.9514.7514.3613.9113.8113.1913.0512.8712.4711.88
4.55-2.18-2.801.883.62-0.38-1.18-0.013.15-0.710.480.932.51-0.052.092.63
4.55-2.90-3.730.782.53-0.94-2.07-0.842.43-1.87-1.57-0.861.92-1.311.422.42

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.151.212.282.181.481.451.162.041.871.651.611.751.691.661.871.922.031.862.132.272.322.222.102.042.072.022.152.021.881.962.082.102.062.052.042.032.072.172.262.142.122.252.272.231.982.072.502.382.483.023.634.333.163.133.603.272.742.552.991.563.453.714.11
0.080.090.540.550.390.390.060.510.490.420.390.420.360.370.380.390.420.410.360.390.420.440.460.450.440.410.410.370.350.330.320.330.340.310.330.330.340.380.380.340.330.330.350.330.300.290.320.310.320.270.320.370.360.340.370.390.350.280.290.010.330.340.40
1.201.131.271.271.351.431.581.061.030.810.680.780.610.750.760.770.840.770.620.690.770.830.900.860.850.750.730.640.560.530.510.530.530.470.510.510.540.640.640.560.540.540.550.500.430.420.470.470.480.390.490.600.570.530.620.680.550.410.430.470.550.570.71
7.565.2510.359.829.8414.2312.0412.3011.0110.7513.2611.7511.1810.538.279.717.068.488.199.529.4011.378.038.698.1110.038.979.749.4911.999.158.799.759.859.6410.909.709.6810.619.458.6410.308.8910.6011.2011.108.8210.259.8811.629.248.959.119.059.2511.0612.2413.8211.0510.748.589.8010.20
-0.26-2.463.383.112.867.675.186.284.8011.76-1.744.964.052.810.981.92-1.300.310.081.911.533.22-0.021.14-0.20-8.030.402.001.193.430.540.400.690.810.992.961.851.081.471.570.421.700.172.042.552.07-0.551.370.092.701.041.351.631.981.963.244.224.162.862.99-1.201.470.32
-0.26-2.463.383.112.867.675.186.284.8011.76-1.744.964.052.810.981.92-1.300.310.081.911.533.22-0.021.14-0.20-8.030.402.001.193.430.540.400.690.810.992.961.851.081.471.570.421.700.172.042.552.07-0.551.370.092.701.041.351.631.981.963.244.224.162.862.99-1.201.470.32
---------------------------------------------------------------
-2.93-4.830.710.380.114.903.124.493.9311.26-2.114.6511.142.530.311.54-1.85-0.27-0.471.310.822.44-0.870.52-1.01-8.68-0.181.580.823.270.140.040.380.470.642.661.500.671.051.180.031.30-0.241.682.211.82-1.020.96-0.312.230.360.630.981.261.102.443.587.202.172.69-2.430.02-0.60
-3.88-4.160.620.030.270.23-24.890.811.310.65-2.913.1410.262.060.350.90-1.49-0.56-0.320.880.491.34-0.86-0.94-0.74-6.440.051.010.541.91-0.080.050.250.080.371.661.030.291.050.240.030.761.371.391.720.62-0.460.92-0.201.630.220.400.620.720.691.532.254.901.361.69-1.530.50-0.98
0.390.360.390.400.380.400.330.350.330.340.340.400.390.390.420.420.360.370.450.490.480.450.400.450.430.420.400.460.450.440.450.470.410.440.420.490.460.430.390.470.430.440.430.470.470.440.420.460.420.400.390.400.370.370.360.350.360.370.350.360.300.310.28
0.680.600.630.610.560.560.460.540.530.530.520.660.670.690.760.750.660.680.840.950.900.760.660.790.750.710.690.810.790.790.830.860.740.810.770.920.860.790.700.940.870.930.881.000.950.900.890.980.920.930.960.890.740.780.720.680.740.810.840.870.700.680.59
1.871.901.812.031.932.071.882.011.782.032.172.032.282.401.992.221.781.882.452.362.122.122.102.072.102.322.252.562.572.342.842.892.883.182.833.083.062.902.762.972.662.832.742.942.812.542.522.672.281.391.341.421.521.591.631.531.491.391.441.481.411.591.44
48.0247.4149.7444.3246.5343.5647.8644.8150.5544.3541.5244.3639.4937.4445.2540.5650.4347.7736.7938.1642.5042.4042.9543.4542.9238.8339.9635.1535.0738.4131.6931.1131.2728.3031.8129.2429.4531.0832.6030.2733.7931.8332.8230.6532.0235.3835.6933.6839.5564.8167.2363.2059.4056.6455.0658.7960.2864.5862.3260.8863.9256.7562.68
-5.23-5.110.860.040.387.733.973.433.4710.35-3.134.3112.682.590.421.07-1.55-0.62-0.371.110.621.68-1.04-1.26-0.90-7.470.051.170.612.03-0.080.060.240.080.371.941.140.311.000.260.030.761.361.461.830.62-0.420.93-0.181.270.170.320.480.560.521.191.773.600.901.14-0.890.30-0.59
-5.31-5.190.880.040.397.884.104.754.8510.55-4.364.4213.042.670.441.11-1.62-0.64-0.381.160.641.77-1.09-1.32-0.95-7.880.061.320.702.31-0.090.060.280.090.422.251.330.361.180.310.040.911.631.752.200.75-0.521.15-0.221.280.170.320.480.560.521.201.783.600.911.15-0.910.31-0.60
-1.50-1.510.250.010.101.960.971.020.993.11-0.971.264.040.810.150.38-0.53-0.21-0.150.440.230.61-0.35-0.43-0.32-2.720.020.460.240.83-0.030.020.100.040.160.820.470.130.410.110.010.340.590.650.800.27-0.190.42-0.080.660.090.160.230.270.250.540.821.790.470.61-0.460.16-0.28
-4.80-4.650.390.020.234.733.731.701.766.05-1.922.508.111.620.260.65-0.89-0.36-0.230.680.360.94-0.56-0.70-0.50-4.400.030.740.401.36-0.050.040.160.060.251.310.750.190.620.170.020.510.880.981.280.43-0.290.64-0.120.920.120.200.310.370.320.721.162.600.651.12-0.590.20-0.35
10.2710.8011.3811.2711.2511.1811.1814.9614.8014.6614.4616.7316.1914.1813.8313.7713.6213.8813.9513.9813.8313.7513.5413.6313.7813.9514.9915.0214.8514.7514.4514.4414.4114.3614.3514.2613.9013.9113.8913.7513.7413.8113.7313.5813.3813.1913.1213.1713.0413.0512.8712.9612.9412.8712.9112.8512.6912.4712.0211.9111.7711.8811.84
0.434.552.752.551.27-2.18-4.55-3.24-2.69-2.80-1.79-2.340.371.880.910.83-1.213.623.452.660.96-0.38-1.15-0.92-0.81-1.18-1.72-0.660.09-0.010.21-0.31-0.443.152.102.251.31-0.71-1.06-0.24-0.140.48-0.230.560.590.93-0.230.00-1.212.511.17-0.83-1.03-0.05-1.48-2.44-0.882.092.591.720.572.630.86
0.404.552.482.481.17-2.90-4.81-3.27-2.74-3.73-2.91-3.03-0.300.780.300.25-1.442.532.952.530.80-0.94-1.53-1.28-0.98-2.07-2.56-1.41-0.80-0.84-0.56-0.76-0.742.431.652.001.28-1.87-1.88-0.80-0.64-1.57-2.15-1.01-0.63-0.86-1.46-0.51-1.411.920.71-1.21-1.32-1.31-2.43-3.26-1.461.422.161.420.382.420.66