Steven Madden Financial Ratios for Analysis 2009-2024 | SHOO

Fifteen years of historical annual and quarterly financial ratios and margins for Steven Madden (SHOO).

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
2.262.632.172.962.563.133.122.892.632.493.213.282.572.943.65
---------------
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42.0141.1841.1338.6538.3938.1638.2137.3035.6235.1336.7037.1437.3743.4142.93
10.7613.2713.05-6.319.8910.3310.8312.0912.2112.5615.5014.5915.8819.1415.68
10.7613.2713.05-6.319.8910.3310.8312.0912.2112.5615.5014.5915.8819.1415.68
11.8714.2414.091.8811.4211.6712.2613.6013.6913.6916.4915.6217.0220.7117.58
11.1313.3012.97-2.5010.1410.5711.0012.2212.2712.8415.9015.0116.3919.8116.04
8.6610.1810.22-1.537.917.707.538.648.048.3810.049.7510.0511.929.95
1.471.691.381.061.401.561.481.461.541.471.491.531.511.421.54
5.025.464.307.278.047.568.787.328.869.3411.2912.1110.179.099.44
5.497.424.774.337.026.306.506.967.086.867.097.326.318.968.59
66.4949.2276.5884.3452.0157.9756.1152.4151.5353.2151.5049.8857.8240.7542.48
20.5225.7423.46-2.3116.8516.0214.7316.3616.7516.8219.6319.0920.4721.1918.71
32.1137.8035.61-3.6127.9424.9423.4026.3129.0130.0329.4129.9632.3727.4321.16
12.9117.2714.20-1.6111.0812.1711.2712.6212.4312.3615.1414.8715.1916.9115.33
20.5225.7423.46-2.3116.8516.0214.7316.3616.7516.8219.6319.0920.4721.1918.71
11.5110.9910.199.5710.079.509.198.187.337.026.726.044.913.782.89
3.073.431.950.562.791.791.821.721.481.591.551.440.770.910.69
2.813.221.870.482.581.651.651.541.271.401.341.240.610.870.66

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
2.092.122.432.262.572.612.992.632.922.392.512.172.272.662.862.962.972.672.752.562.802.623.243.133.483.083.613.123.072.853.462.892.562.412.922.632.112.192.542.492.842.923.483.212.722.633.333.282.712.122.362.572.222.033.232.942.672.883.873.652.993.444.91
--------------0.11------------------------------------------------
--------------0.12------------------------------------------------
41.5541.4740.7041.3442.0942.6442.0642.2241.2340.7040.7241.2041.6142.7438.5338.3440.3339.1337.1637.7339.0037.8138.9240.6138.2237.3436.1841.7137.6037.2636.2238.7137.8337.2035.2836.0835.9835.8934.3834.2934.7236.2035.5737.7735.3937.1536.7839.3436.7736.1136.1335.4834.8740.2141.7143.2042.1043.3945.5444.0644.0142.5540.48
11.948.9510.277.6814.979.8910.038.4514.1512.1917.4913.7316.7211.997.77-6.50-0.86-16.60-7.314.6413.559.9310.745.7615.3110.519.408.2214.8311.208.4011.7815.6111.039.0711.2416.0311.389.219.3415.1413.6311.8215.6417.2515.3213.0615.7715.8012.9913.2913.8016.0917.7816.5616.9720.3120.2018.8915.0420.2016.639.59
11.948.9510.277.6814.979.8910.038.4514.1512.1917.4913.7316.7211.997.77-6.50-0.86-16.60-7.314.6413.559.9310.745.7615.3110.519.408.2214.8311.208.4011.7815.6111.039.0711.2416.0311.389.219.3415.1413.6311.8215.6417.2515.3213.0615.7715.8012.9913.2913.8016.0917.7816.5616.9720.3120.2018.8915.0420.2016.639.59
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12.169.2110.557.9715.3210.3310.468.5714.3911.9517.5013.6416.6811.807.766.08-0.84-16.35-7.024.8813.7410.2111.036.1015.5010.779.558.3714.9611.398.5911.9915.8011.209.0211.4015.8211.599.379.5015.4313.9912.1516.2117.5815.6613.3916.0716.4013.5613.4713.8516.6418.5717.4817.7820.9620.8019.4815.4420.5516.959.96
8.856.767.956.9011.657.757.926.7511.019.0613.3111.4112.609.265.876.40-2.00-11.61-4.864.2310.458.138.302.8712.128.197.376.3810.037.745.508.5510.727.607.187.4710.377.576.126.1310.019.477.7610.4011.149.738.3910.4510.629.328.228.5010.1711.3710.7710.9512.4512.4811.699.7212.7210.436.12
0.430.380.420.390.430.350.380.370.450.410.440.430.410.340.310.310.310.130.310.330.390.350.340.410.410.360.380.360.410.370.390.350.420.350.370.380.430.340.360.380.420.330.350.390.440.330.340.390.450.370.380.440.480.350.360.360.430.400.370.430.440.410.42
1.361.271.621.331.561.231.491.191.341.031.421.331.531.822.082.151.890.842.211.912.071.912.201.881.921.862.632.042.221.942.411.722.271.762.652.162.141.852.802.432.482.163.372.902.562.053.013.012.692.033.193.032.651.852.852.312.402.023.002.562.642.312.28
1.291.381.301.441.381.491.411.641.431.421.301.481.381.431.131.271.300.991.371.651.501.471.411.631.381.391.301.601.311.471.581.671.511.501.521.741.451.481.511.761.511.461.501.851.581.581.641.881.461.541.501.821.431.301.712.271.951.862.032.381.802.012.18
69.5565.0869.2662.5165.3660.2264.0454.7263.0163.2769.0760.9165.4163.1479.7470.8169.1290.5565.5454.6160.1461.3864.0555.1965.1864.8969.4356.2668.7961.4057.1053.7659.4759.9059.3351.8762.0060.8859.7651.1259.7961.6159.9748.6756.9356.9454.8947.8361.8058.4159.8749.3662.8469.1152.6739.6546.2748.2644.3237.8149.9644.7141.35
6.584.445.284.367.634.174.393.797.255.808.848.068.264.772.793.01-0.93-2.23-2.302.056.254.364.251.546.493.913.613.065.583.872.783.896.043.543.403.816.293.683.023.165.734.143.545.336.554.483.655.266.454.984.325.017.135.754.724.936.856.455.385.067.145.303.07
9.937.028.286.8311.126.136.475.5610.628.6113.2112.2312.677.474.314.70-1.47-3.80-3.883.4010.306.676.522.409.856.075.734.879.016.534.726.259.925.995.766.6010.946.565.465.649.576.245.337.989.926.865.688.2510.558.647.747.9211.549.886.006.398.087.746.585.738.166.123.60
3.882.693.422.755.042.763.052.545.043.725.834.885.133.181.912.09-0.65-1.51-1.551.354.142.822.921.175.012.982.862.344.182.872.173.004.542.642.652.834.442.642.242.324.213.112.784.114.863.322.874.104.753.463.143.724.903.973.853.945.334.934.324.155.644.292.59
6.584.445.284.367.634.174.393.797.255.808.848.068.264.772.493.01-0.93-2.23-2.302.056.254.364.251.546.493.913.613.065.583.872.783.896.043.543.403.816.293.683.023.165.734.143.545.336.554.483.655.266.454.984.325.017.135.754.724.936.856.455.385.067.145.303.07
11.9111.4611.5111.5111.4411.1811.0210.9910.9410.6710.5610.199.929.529.689.579.259.249.3210.0710.129.769.699.509.929.469.249.199.068.458.258.187.967.637.577.337.307.106.937.027.076.906.786.726.586.356.206.045.685.395.094.914.634.284.073.783.573.293.082.892.672.502.36
1.321.30-0.223.071.051.10-0.183.430.860.51-0.241.951.181.120.060.560.010.74-0.502.791.000.71-0.191.790.540.52-0.321.820.400.570.101.720.830.650.171.480.550.58-0.031.590.780.700.221.550.580.650.261.440.150.440.140.770.080.22-0.020.910.440.220.140.690.390.240.04
1.081.17-0.272.810.860.99-0.233.220.730.44-0.291.871.131.090.040.48-0.060.68-0.542.580.890.64-0.231.650.440.46-0.351.650.270.480.061.540.680.560.121.270.400.49-0.071.400.650.620.181.340.420.540.221.24-0.010.350.110.61-0.050.16-0.050.870.420.210.130.660.360.220.03