National Steel Financial Ratios for Analysis 2009-2024 | SID

Fifteen years of historical annual and quarterly financial ratios and margins for National Steel (SID).

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
1.321.361.431.591.101.051.112.263.092.502.953.303.383.542.65
0.650.620.540.730.670.700.740.790.790.830.760.760.750.710.70
2.281.881.393.132.462.883.564.123.925.213.443.353.312.572.57
26.3330.0046.0736.3932.1329.8826.6026.2923.0428.1128.2428.5540.6744.5938.17
10.6416.6942.4918.7713.4329.6515.5210.9726.2015.4217.113.8034.8531.6425.68
10.6416.6942.4918.7713.4329.6515.5210.9726.2015.4217.113.8034.8531.6425.68
18.0823.1847.1227.1619.4035.1923.3618.6833.8823.3723.7811.0940.5839.3533.29
2.289.3038.8116.365.5523.732.81-3.3611.77-1.633.51-7.9922.7125.6629.97
-0.703.5025.5912.627.0322.090.06-5.458.20-0.703.08-2.8422.2024.0823.67
0.500.520.600.480.500.490.410.390.320.320.340.340.350.280.38
3.502.752.363.973.273.203.053.192.392.813.933.372.621.732.62
9.068.7011.276.7212.4211.058.148.599.719.206.869.4210.227.649.25
40.2841.9532.4054.3029.3933.0244.8542.5137.5739.6853.1838.7735.7147.7639.44
2.059.9458.1638.1519.7551.941.34-11.4218.50-1.4716.68-4.4843.1633.9050.05
5.2021.7286.5012054.3418810.95-668.8149.31-1.7618.95-5.2243.1836.0354.50
0.442.5417.136.814.4110.990.25-1.913.32-0.172.67-0.827.207.019.60
0.713.7726.9810.136.5615.670.36-2.363.93-0.264.06-1.0910.049.9714.92
2.973.193.121.572.081.971.871.531.92------
1.100.301.991.350.890.440.130.061.140.370.701.231.730.960.00
0.44-0.191.611.110.490.18-0.11-0.290.78-0.20-0.090.12-0.08-0.45-1.84

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
1.291.291.321.531.531.601.361.451.681.651.431.512.051.801.591.441.291.201.101.061.231.141.051.181.251.171.111.481.812.252.262.242.642.843.093.702.992.952.502.182.222.402.952.612.802.573.303.733.593.093.384.463.803.243.543.333.882.952.652.851.951.89
0.720.650.650.650.640.630.620.580.560.510.540.530.550.640.730.840.850.850.670.700.660.690.700.730.750.740.740.760.790.780.790.760.770.790.790.900.850.830.830.810.790.770.760.760.770.770.760.770.770.750.750.740.740.700.710.700.700.700.700.660.540.56
3.102.352.282.172.021.951.881.561.461.231.391.281.381.983.135.706.776.592.462.922.312.762.883.443.703.473.563.644.283.854.123.303.503.853.929.395.855.025.214.854.243.823.443.503.713.603.353.583.723.303.313.163.172.582.572.732.572.552.572.321.581.74
27.4722.5630.6825.2220.4228.6729.5623.2928.4538.0935.7142.0153.8048.1444.1441.1029.6224.6932.0227.2435.6333.0434.4930.2827.4927.2628.2825.2122.8429.8829.5529.3621.2124.0919.8523.7829.2626.6528.9628.4740.4328.9536.1830.7331.6322.0219.1127.2729.0239.9532.2543.3647.8347.83-19.3647.8648.7834.5710129.5122.4425.24
13.925.0414.0913.639.414.949.999.4816.2530.0424.2334.9845.8360.1330.7824.488.442.6414.313.4316.0019.2318.2822.2126.6651.6024.7112.986.8216.5617.8917.611.114.921018.20-21.961.23-19.561.683.8924.0718.9318.78-7.819.281.1915.41-40.3733.2741.0126.7235.4220.1092.7738.6437.7745.60-96.3045.1143.9538.60
13.925.0414.0913.639.414.949.999.4816.2530.0424.2334.9845.8360.1330.7824.488.442.6414.313.4316.0019.2318.2822.2126.6651.6024.7112.986.8216.5617.8917.611.114.921018.20-21.961.23-19.561.683.8924.0718.9318.78-7.819.281.1915.41-40.3733.2741.0126.7235.4220.1092.7738.6437.7745.60-96.3045.1143.9538.60
--------------------------------------------------------------
1.09-5.5810.183.81-0.41-5.380.047.428.3420.6520.0726.7043.9858.5536.5622.9913.47-20.7210.07-9.4911.249.0928.9216.069.7540.377.487.99-11.495.77-1.431.191.54-18.4593.57-9.18-21.59-3.00-5.34-6.381.061.72-3.1612.4110.34-3.50-10.873.76-44.4817.2213.1725.1134.3820.625.1925.0427.7912.5879.1433.6716.3414.28
-2.05-4.941.610.821.67-7.27-2.152.181.8711.59-3.5712.9335.8247.8238.7214.487.17-24.5910.58-14.5027.451.4425.9112.2020.9229.345.495.33-14.852.67-0.71-2.39-0.98-21.6364.47-13.46-21.409.771.75-6.450.671.19-9.8410.7915.040.757.223.98-24.962.8419.6126.3726.3314.1019.4318.2423.0912.0219.3230.9510.1811.55
0.120.110.130.130.130.130.130.130.140.160.120.130.190.170.150.150.110.100.120.120.130.120.120.130.120.110.110.110.100.100.100.100.100.080.060.080.060.070.060.070.070.090.090.080.060.070.090.090.080.080.080.090.110.080.060.110.120.130.140.130.130.10
0.790.780.880.900.920.790.680.800.720.710.580.591.011.091.101.020.730.740.800.740.740.710.750.900.800.750.790.850.750.730.810.830.890.650.500.640.650.760.650.760.760.891.001.000.910.841.020.870.810.610.700.640.640.680.010.600.630.592.620.660.550.48
2.492.122.412.132.362.092.142.662.572.202.322.362.552.202.133.273.432.423.032.492.072.122.772.882.382.272.152.151.782.302.282.402.582.121.991.641.401.841.642.291.772.711.801.811.331.432.462.352.122.182.372.322.702.221.792.992.953.683.503.553.452.59
36.0942.4237.2842.2738.1543.1442.0533.8534.9840.8838.7438.1935.3140.9342.3227.5626.2237.2229.6736.1143.5042.4932.5131.2837.7939.6341.8641.9250.4839.1539.4037.4534.9442.5245.3254.9964.2548.9555.0039.2650.9033.2650.1349.5967.5463.0436.5838.2542.4641.2837.9438.8833.3640.4750.2930.1130.4724.4825.6925.3726.0734.71
-1.35-2.434.140.451.37-3.790.911.001.555.434.215.7221.9732.9837.1619.898.16-24.269.80-8.6815.320.8516.158.6014.8018.084.463.22-9.091.530.70-1.09-0.49-9.9923.13-14.58-11.785.820.88-3.710.330.76-5.525.535.880.333.542.01-12.631.289.6211.9115.715.436.089.5712.667.8614.3619.425.475.31
-3.73-5.1810.530.453.24-8.371.991.572.388.106.265.8411659.51117-124.75-23.7768.5426.95-31.0436.782.8858.5951.8312915636.4036.9125628.9640.81-2.60-1.28-28.6761.65-20.64-14.426.891.05-4.470.390.88-6.286.206.610.374.122.23-14.091.429.6212.7016.785.756.4610.1913.578.5015.6320.965.915.75
-0.24-0.520.890.100.34-0.950.230.290.481.821.241.746.948.186.642.210.81-2.492.19-1.713.660.173.421.632.573.320.820.58-1.460.270.12-0.22-0.10-1.814.15-1.01-1.230.700.10-0.440.040.11-0.880.900.910.050.650.34-2.090.231.602.302.931.141.262.012.711.562.754.151.371.16
-0.38-0.841.430.160.50-1.400.340.420.692.651.952.719.9111.929.863.241.19-3.673.25-2.585.270.264.872.323.634.711.180.78-1.880.330.14-0.26-0.11-2.144.91-1.44-1.801.010.15-0.710.070.18-1.341.341.350.080.860.46-2.860.322.243.064.061.631.792.863.772.334.286.582.542.33
2.373.012.973.103.143.153.19-3.663.463.123.193.412.281.570.850.730.882.081.832.281.961.971.601.651.831.871.821.581.761.532.041.781.54----------------------------
0.000.001.100.000.250.000.300.00-0.150.000.000.000.000.001.350.490.200.080.890.330.350.230.440.150.070.100.130.13-0.09-0.020.060.110.04-0.171.120.040.040.420.370.190.130.170.700.420.26-0.071.230.510.230.361.731.290.850.370.960.940.470.170.00-0.26-0.99-0.04
--0.44-0.00--0.19--0.39-----1.110.490.200.080.490.220.210.170.180.090.020.05-0.110.07-0.14-0.07-0.290.03-0.05-0.240.76-0.13-0.160.33-0.20-0.22-0.110.08-0.09-0.10-0.06-0.230.12-0.30-0.320.04-0.08-0.020.130.04-0.450.07-0.070.00-1.84-1.75-1.97-0.28