Seanergy Maritime Holdings Corp Financial Ratios for Analysis 2009-2024 | SHIP

Fifteen years of historical annual and quarterly financial ratios and margins for Seanergy Maritime Holdings Corp (SHIP).

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
0.360.650.540.990.090.470.571.050.895.420.420.230.740.941.60
0.440.470.390.630.290.900.820.870.88---0.800.560.54
1.021.090.911.936.629.694.886.817.63--1.49-2.054.501.451.33
59.0861.7365.5135.4135.7033.4327.11-1.72-17.04-14.6315.7926.1063.5565.0579.41
19.3723.7443.05-0.4213.9212.613.74-42.45-62.864,07098.94-53.2417.5819.2245.93
19.3723.7443.05-0.4213.9212.613.74-42.45-62.864,07098.94-53.2417.5819.2245.93
47.5548.6660.3534.1037.5731.2222.51-12.11-44.074,070109-17.7853.0454.0778.28
2.0713.7727.01-28.98-13.46-22.99-4.32-70.94-79.803,99747.26-348.41-190.001.7735.92
2.0113.5227.01-28.98-13.52-23.01-4.32-71.04-79.803,99747.26-348.40-190.040.1434.19
0.230.240.310.210.310.340.270.130.050.620.350.460.240.140.16
28.9423.9836.468.8014.4011.5211.378.714.41-21.2987.2715.1022.9616.07
91.5680.71-79.0849.0634.5520.6412.458.7267.0018.3824.3247.9895.95116
3.994.52-4.627.4410.5617.6929.3141.865.4519.8615.017.613.803.16
1.007.7816.91-19.18-39.18-98.85-7.83-79.86-38.463,003-12.02191-257.090.6013.92
1.007.7816.91-19.18-39.18-98.85-7.83-79.86-38.463,003-12.02191-272.550.6415.07
0.483.368.49-6.22-4.14-7.87-1.17-9.56-4.282,45916.44-160.20-45.310.245.86
0.564.1210.39-7.05-27.93-9.96-1.44-10.69-4.483,003-12.02191-52.380.266.39
11.6312.1914.1314.011781,2792,6822,1712,8610.67-7.59-8.51-37.596.82
1.702.114.22-2.91137365186-1,790.26-1,054.78-5.560.430.213.625.3921.25
2.98-1.87-5.43-8.957.92-162.49-2,022.43-6,549.70-45,963.3234.092.105.303.625.3921.24

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-09-302020-03-312019-09-302019-03-312018-09-302018-03-312017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.55-0.360.440.51-0.65-0.45-0.54---0.170.030.070.04---1.050.650.89-0.890.021.790.295.429.354.8610.200.42-0.040.150.23-0.480.820.740.650.810.900.941.071.332.551.60-1.701.37
0.420.480.440.460.470.510.470.520.450.490.390.50-0.44-----0.840.890.870.900.890.890.880.000.010.38-----3.67---0.960.830.780.800.810.540.550.560.560.570.500.54-0.570.59
0.970.931.021.011.051.031.091.081.100.960.911.00-0.782.078.867.5115.19-5.337.896.819.308.508.427.632.790.900.62-----1.49-1.37-1.50-1.76-2.0527.335.674.044.505.171.361.421.451.481.481.131.33-1.501.63
71.7869.0770.4254.8061.7835.8159.0361.5462.8763.2975.5771.0449.1146.9047.7419.3046.2714.5745.3430.479.176.94-3.634.42-19.98-24.38-2.724.33----1.9953.73-13.740.1314.5321.88-15.0539.6341.3564.3459.7266.7262.7755.8869.4463.6873.3234.8299.9983.7587.46
44.9438.4437.170.0919.007.1516.3724.2327.4026.2456.9751.1322.4013.4319.03-20.0228.51-15.2027.548.17-20.12-35.20-39.62-34.03-66.99-64.50-33.55-45.13-----36.32439-31.08-32.32-25.42-245.49-71.30-0.04-2.7335.485.9717.049.573.5228.2217.7928.33-20.71100.0036.6551.76
44.9438.4437.170.0919.007.1516.3724.2327.4026.2456.9751.1322.4013.4319.03-20.0228.51-15.2027.548.17-20.12-35.20-39.62-34.03-66.99-64.50-33.55-45.13-----36.32439-31.08-32.32-25.42-245.49-71.30-0.04-2.7335.485.9717.049.573.5228.2217.7928.33-20.71100.0036.6551.76
-----------------------------------------------------
32.7526.5327.47-20.612.39-23.221.6321.0118.0712.3736.4141.647.05-6.4818.28-62.553.12-53.97-21.08-16.14-47.18-63.09-68.06-62.86-96.09-85.77-39.67-59.59----4,154118399-216.9219.31-1,377.13-363.44-156.16-36.5224.11-865.082.41-5.98-13.8810.05-2.3415.95-58.1999.9932.4546.15
32.7525.3327.48-20.772.39-23.430.5621.0118.0712.3736.4141.647.05-6.4818.28-62.553.12-53.97-21.08-16.14-47.18-63.41-68.06-62.86-96.09-85.77-39.67-59.59----4,154118399-216.8718.87-1,376.65-363.50-156.29-36.5724.12-865.132.33-6.05-10.1710.12-6.720.61-18.5862.5632.4846.17
0.080.080.080.050.060.040.060.070.060.060.120.10-0.060.060.050.090.06-0.080.050.040.040.040.030.030.040.09----0.610.100.080.090.060.070.040.050.040.060.050.040.040.040.040.030.030.03-0.060.07
5.17-7.487.627.58-5.86-6.80-9.57----------2.503.013.18-2.85-------3.21-3.602.5914.13-4.743.553.926.316.746.027.985.225.784.3710.02-5.195.06
6.51-32.7511.406.22-18.42-18.20------------3.915.405.15-5.30-------5.06-4.054.873.73-5.578.3712.7514.0016.4331.1626.1235.8625.9926.7422.75---
13.82-2.757.8914.47-4.89-4.95------------23.0416.6617.46-16.98-------17.77-22.2118.4924.14-16.1710.757.066.435.482.893.452.513.463.373.96---
5.55-4.74-2.310.31-0.22-2.54-8.44-----------22.36-30.65-24.55--25.13----46.94----8.24-12.81-1.06115--54.32-7.908.64-289.620.24-0.56-0.961.06-0.530.04-1.42-4.758.43
5.564.224.74-2.310.31-1.900.223.172.541.598.449.03--0.704.15-38.102.81-64.17--9.25-23.53-22.36-30.65-24.55-31.89-25.13-6.22-11.11-15.62-46.94-40.50-28.433,175-8.24-17.4612.81-1.06115-412.34-59.27-8.369.16-308.740.25-0.60-1.021.13-0.570.04-1.53-4.758.43
2.692.092.27-1.110.15-0.900.101.461.140.774.244.31--0.381.17-3.070.27-3.26--1.28-2.51-2.68-2.88-2.51-3.27-2.79-1.59-5.35-5.10-38.43-36.49-23.282,55411.2630.18-18.761.15-96.75-13.57-7.75-1.521.52-45.500.10-0.22-0.380.41-0.210.02-0.60-1.873.17
3.232.192.66-1.250.16-0.940.121.521.390.815.194.52--0.394.15-38.102.81-64.17--1.46-2.65-2.99-3.09-2.62-3.39-2.92-6.21-11.01-9.65-46.94-40.50-28.433,187-8.2446.6512.81-1.06115-14.55-9.12-1.711.76-54.760.11-0.25-0.420.46-0.230.02-0.65-2.033.44
12.31-11.6311.0911.24-12.19-13.10-14.13----------2,1712,2202,570-2,861---0.13----7.59----8.51-----------6.82---
1.770.741.700.610.09-0.012.111.621.070.434.222.070.910.140.000.000.000.000.000.000.00-1,790.26-1,471.91-1,138.690.00-1,054.78-668.12-491.030.00-0.950.000.000.000.090.000.000.000.200.300.36-0.143.681.981.040.000.000.000.000.000.000.000.000.00
0.040.742.981.921.371.32-1.87-0.53-1.030.31-5.432.07-6.15-1.68--------6,549.70-1,471.91-1,138.69--45,963.32-15,562.58-4,903.30-5.84---0.42---5.120.301.710.233.681.981.04---------