Star Group Financial Ratios for Analysis 2009-2024 | SGU

Fifteen years of historical annual and quarterly financial ratios and margins for Star Group (SGU).

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
0.700.760.640.660.700.910.891.020.971.171.391.321.441.261.95
0.330.370.250.300.320.230.180.200.240.310.320.320.310.230.30
0.560.710.430.480.590.330.250.300.350.460.480.480.460.300.43
24.1124.1331.9132.3727.8127.6230.8633.8028.1120.7220.2719.8822.2425.4627.43
3.203.018.706.342.133.944.187.535.594.073.793.894.204.836.64
3.203.018.706.342.133.944.187.535.594.073.793.894.204.836.64
4.914.6811.008.764.065.906.389.927.195.264.885.095.486.358.48
2.352.448.115.221.433.763.576.774.203.132.862.842.963.626.09
1.491.584.943.321.002.911.953.462.031.671.591.651.492.228.97
2.232.201.751.752.332.301.961.682.442.862.752.342.522.081.82
26.2518.2216.6619.7519.5421.5415.3516.7521.6226.2520.3825.2815.3613.5513.98
17.1214.5115.0217.5514.5912.6513.7014.7718.7615.8518.1216.9717.1217.2220.51
21.3225.1524.3020.7925.0228.8626.6424.7219.4523.0320.1421.5121.3221.2017.80
12.1113.6831.5421.866.7617.928.7914.9012.9613.2111.539.998.9310.1242.78
-42.77-43.72-124.15-74.76-19.29-324.69-107.32-503.58-131.89-97.87-346.18-165.85116129127
3.653.8710.286.672.347.603.996.495.485.274.734.063.864.8619.73
8.178.6123.6815.294.6313.827.2411.929.899.077.796.766.137.8129.82
7.417.157.135.905.475.845.485.395.064.764.494.264.204.174.08
3.460.911.703.851.921.050.381.792.391.660.311.710.590.631.04
3.300.431.493.551.720.810.171.622.231.500.221.620.500.560.98

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
0.740.830.760.700.790.890.820.760.940.870.710.640.740.840.650.660.760.830.760.700.750.980.920.911.101.070.890.891.061.161.021.021.291.301.110.971.411.501.201.171.211.151.291.391.491.411.281.321.321.481.221.441.881.831.491.261.662.121.971.952.031.99
0.270.260.310.330.320.300.350.370.320.200.240.250.240.230.290.300.270.270.310.320.210.200.220.230.220.140.160.180.170.170.190.200.190.200.230.240.230.260.310.310.290.280.310.320.310.300.320.320.310.300.320.310.280.270.300.230.210.200.310.300.320.32
0.440.500.720.560.530.711.130.710.710.840.820.430.360.450.680.480.420.490.890.590.520.600.620.330.320.510.460.250.240.230.260.300.280.280.340.350.370.350.440.460.540.910.820.480.450.620.620.480.460.550.660.460.390.460.460.300.270.310.450.430.470.46
26.6130.9428.3419.0121.4727.5323.5415.9217.6128.1228.6020.9224.7637.4435.3225.5436.2536.1729.0020.5523.3631.2428.8718.9024.2531.5928.5023.3928.0434.7130.7325.7928.1239.6733.2425.4424.3331.3725.9016.8718.5922.3820.8618.8720.9220.6319.8818.8420.0220.0120.0319.9120.9222.7722.9021.5924.5226.7325.4125.3426.9129.25
-3.7115.064.09-8.61-9.8612.413.64-22.90-2.6214.984.63-12.90-4.8619.8114.68-19.690.2115.868.34-18.56-10.5615.011.13-18.14-2.6912.507.11-14.94-8.7712.978.65-18.27-1.3520.857.41-36.60-4.1017.596.16-18.07-3.3110.537.09-11.15-3.059.583.60-1.81-8.6311.581.86-23.82-11.4512.029.50-21.61-7.8513.627.63-21.030.5721.30
-3.7115.064.09-8.61-9.8612.413.64-22.90-2.6214.984.63-12.90-4.8619.8114.68-19.690.2115.868.34-18.56-10.5615.011.13-18.14-2.6912.507.11-14.94-8.7712.978.65-18.27-1.3520.857.41-36.60-4.1017.596.16-18.07-3.3110.537.09-11.15-3.059.583.60-1.81-8.6311.581.86-23.82-11.4512.029.50-21.61-7.8513.627.63-21.030.5721.30
--------------------------------------------------------------
-4.5814.453.44-9.80-11.0611.702.93-24.01-3.2714.604.16-13.79-5.6419.4214.11-24.03-0.8815.307.77-19.73-11.7014.520.61-16.08-3.4912.106.56-16.02-9.6412.598.11-19.70-2.2920.376.73-43.33-5.6917.045.39-19.84-5.0910.016.31-13.34-4.559.022.84-6.01-9.6511.101.21-28.64-12.4711.508.18-23.83-9.1812.756.33-25.17-1.4421.78
-3.308.352.13-3.53-7.896.841.80-12.20-2.398.432.56-6.09-4.2211.438.37-14.46-0.028.795.42-8.80-8.108.420.43-5.87-2.436.585.78-6.58-5.876.184.73-7.82-1.489.803.37-19.65-3.388.092.71-7.71-2.924.803.17-4.57-2.874.391.73-0.05-5.045.340.63-11.14-7.345.623.85-5.78-5.636.123.1425.74-1.1416.97
0.380.710.560.300.340.730.620.330.450.720.500.280.330.640.410.220.270.590.530.310.360.790.620.310.440.800.540.270.330.740.550.230.290.580.430.240.330.950.680.320.471.010.700.280.431.100.760.270.380.980.680.240.401.050.690.230.300.910.530.170.270.80
5.957.274.503.834.407.454.422.994.397.064.493.063.766.394.242.723.396.564.502.893.788.004.973.305.167.844.372.333.837.634.272.623.696.123.282.243.9910.315.453.125.4711.524.892.114.2314.944.982.985.0711.123.671.523.2314.414.581.592.126.713.611.382.219.33
2.583.242.822.342.152.722.562.152.342.982.732.372.373.222.542.192.072.902.481.961.692.442.361.731.792.592.271.881.942.822.482.062.483.322.561.871.812.872.751.801.552.362.571.851.722.702.681.972.022.902.601.651.602.652.511.921.672.932.611.972.043.24
34.8927.8131.8938.4641.7733.1435.1341.9438.4030.2232.9537.9337.9427.9335.4441.0543.3931.0136.2645.8853.1336.9238.1352.0050.2034.7339.6747.8846.4931.9036.3543.6836.2927.1535.1648.0449.8131.3232.7050.1158.1838.1135.0648.7152.3033.3233.5845.6444.5331.0834.6554.6356.1033.9035.8446.8054.0130.7534.4545.7444.1527.76
-3.5920.654.80-7.48-8.2819.505.16-19.38-3.3223.915.26-8.35-3.8525.2514.42-11.80-0.0218.4910.25-13.00-7.2720.350.75-6.92-2.3514.969.14-5.80-4.0511.405.82-6.33-0.9615.954.06-15.64-2.4521.375.49-9.45-3.1316.297.07-5.38-2.7414.023.73-2.17-4.3514.091.13-9.79-5.7514.336.95-5.08-3.2612.344.0510.55-0.6636.69
28.82-367.92-19.7726.4261.59-452.29-18.3661.9539.66-1,990.17-20.2332.8829.83-462.80-39.3440.370.12-217.42-35.9537.0957.62272-17.42125-65.7812382970.80-69.1297.42465214-13.74184-51.84159-21.33153-63.6570.05161982269161-105.61160-79.4535.96197178-37.68-127.20-28.3955.8750.72-64.78-22.5431.3812.5831.39-2.29122
-1.287.281.37-2.25-2.706.161.29-5.48-1.087.471.49-2.72-1.399.004.14-3.60-0.016.362.86-4.50-2.908.160.27-2.94-1.066.433.76-2.63-1.955.532.59-2.76-0.426.951.63-6.61-1.129.482.12-3.77-1.385.902.58-2.20-1.245.861.44-0.88-1.916.270.43-4.23-2.926.973.10-2.44-1.726.651.834.86-0.3016.68
-2.6115.183.29-5.05-5.6413.563.34-12.20-2.2419.103.97-6.27-2.9119.3310.25-8.26-0.0113.527.11-8.89-5.7516.350.58-5.34-1.8412.837.67-4.77-3.369.484.72-5.07-0.7812.733.12-11.93-1.9015.803.81-6.49-2.2311.734.86-3.63-1.899.882.53-1.47-2.989.830.77-6.73-4.1310.494.89-3.92-2.579.852.797.35-0.4525.08
8.849.367.607.418.118.947.357.158.779.217.267.137.918.396.455.906.786.935.865.476.437.075.955.846.386.715.915.485.896.235.625.395.906.055.185.065.956.184.924.765.335.584.754.494.774.984.364.264.444.714.134.204.725.074.414.174.494.704.194.083.823.91
2.05-0.15-1.693.462.89-0.39-2.580.91-0.85-2.80-1.701.701.480.14-0.643.853.451.10-1.091.921.25-0.82-1.191.050.56-1.08-1.130.380.42-0.64-1.171.791.931.300.062.391.680.06-0.231.660.09-2.12-1.620.31-0.53-2.36-1.991.711.33-0.58-1.160.59-0.28-1.53-1.320.630.21-1.08-1.001.041.070.44
1.85-0.31-1.783.302.78-0.46-2.600.43-1.16-2.98-1.791.491.350.11-0.603.553.270.98-1.151.721.10-0.94-1.250.810.40-1.20-1.190.170.25-0.78-1.251.621.811.210.002.231.590.00-0.261.50-0.02-2.20-1.670.22-0.58-2.40-2.011.621.28-0.62-1.180.50-0.34-1.57-1.350.560.16-1.12-1.030.981.040.42