SINTX TECHNOLOGIES, INC Financial Ratios for Analysis 2011-2024 | SINT

Fifteen years of historical annual and quarterly financial ratios and margins for SINTX TECHNOLOGIES, INC (SINT).

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
2023202220212020201920182017201620152014201320122011
1.900.895.479.581.972.950.441.141.151.460.800.791.85
-0.06-0.010.00----0.31--0.88
0.010.090.030.020.00-0.110.621.153.202.143.948.84
70.1683.0225.9120.0320.0341.05-75.1967.8765.2568.4371.9779.82
-508.49-726.14-1,752.48-1,431.65-957.04-13,806.32--75.76-61.90-106.16-46.32-126.17-102.93
-508.49-726.14-1,752.48-1,431.65-957.04-13,806.32--75.76-61.90-106.16-46.32-126.17-102.93
-445.41-664.45-1,645.21-1,347.81-888.82-13,691.58--62.91-50.73-95.79-36.34-107.60-74.66
-314.39-771.24-1,536.14-1,183.33-696.23-10,198.95--96.96-122.92-143.12-37.13-155.04-117.22
-315.38-1,056.31-1,536.14-2,793.60-1,088.53-23,738.95--138.19-122.92-143.12-37.13-151.90-117.22
0.170.100.030.020.080.01-0.580.540.480.650.690.33
0.880.931.484.805.201.08-0.520.680.680.700.730.36
3.844.765.9414.495.070.36-9.407.319.067.925.745.88
95.1876.6961.4425.1972.051,010-38.8349.9140.2946.0863.5562.09
-94.15-211.06-54.14-27.24-92.21-115.36-105.86-131.40-168.02-471.725.4123.6320.78
-94.38-212.03-54.24-27.28-92.95-115.99799-783.18-545.69946337569458
-53.75-76.33-42.62-23.09-52.44-84.14-39.35-56.22-66.68-68.47-24.14-104.72-38.80
-94.15-198.27-54.14-26.94-92.00-115.36-105.86-131.40-168.02-326.87-98.70-674.92-88.46
3302,10469.691.052.1411.581.804.9315.693.9314.0414.879.26
-647.89-32.37-40.44-0.52-4.14-24.370.00-4.64-25.04-17.80-18.63-27.88-42.86
-670.88-36.80-54.81-0.54-4.23-24.40--5.04-26.85-20.41-22.93-29.58-46.77

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-31
3.041.941.841.902.092.832.790.892.113.104.495.475.767.268.049.588.816.014.651.972.372.341.942.952.011.110.450.440.690.770.931.141.070.981.001.151.021.131.281.461.161.211.320.80-----
-----0.000.000.060.050.04--0.020.020.020.010.010.010.000.000.00------------0.05---0.250.490.310.240.08-------
0.020.030.020.010.010.010.010.090.070.050.040.030.030.020.020.020.010.020.000.000.00----0.220.750.110.440.320.390.620.731.151.351.15-11.632.767.003.201.901.350.792.14-----
73.7273.9267.5450.6782.7479.5378.1196.0879.1172.5037.9824.2420.5027.7239.6020.5119.7020.1019.8125.4012.7220.3618.56------77.4974.8669.8277.3574.7278.6066.1466.0871.4967.9147.2167.6772.5371.4764.6167.2178.0462.95--
-802.00-315.48-465.36-301.88-533.04-681.89-659.93-375.85-655.63-1,159.58-2,232.56-1,570.30-1,182.01-2,339.60-2,812.87-1,912.82-3,678.79-972.55-895.65-651.59-982.66-911.38-1,783.51-------53.74-68.54-91.54-94.94-62.17-59.53-51.68-58.04-54.31-84.46-74.67-93.98-182.11-70.17-50.56-38.09-44.18-52.79--
-802.00-315.48-465.36-301.88-533.04-681.89-659.93-375.85-655.63-1,159.58-2,232.56-1,570.30-1,182.01-2,339.60-2,812.87-1,912.82-3,678.79-972.55-895.65-651.59-982.66-911.38-1,783.51-------53.74-68.54-91.54-94.94-62.17-59.53-51.68-58.04-54.31-84.46-74.67-93.98-182.11-70.17-50.56-38.09-44.18-52.79--
-------------------------------------------------
-780.85-256.58-128.97-257.32-470.50-483.27-54.36-516.71-639.44-1,046.67-2,205.43-1,293.33-980.33-2,177.23-2,606.93-1,480.34-3,693.94-1,974.51565-393.65-835.84-437.13-1,679.38-------53.09-19.48-30.78-153.55-125.88-81.19-48.38-209.58-124.12-113.45-188.27-82.23-226.85-81.5411.59-44.32-50.65-67.28--
-780.85-256.58-128.97-257.32-470.50-488.39-54.36-1,097.65-639.44-1,046.67-2,205.43-1,293.33-980.33-2,177.23-2,606.93-1,480.34-3,806.06-2,075.98-3,920.29-393.65-1,035.26-1,849.10-1,679.38-------53.09-19.48-30.78-339.40-125.88-81.19-48.38-209.58-124.12-113.45-188.27-82.23-226.85-81.5411.59-44.32-50.65-67.28--
0.070.060.040.060.040.030.020.050.030.010.010.010.010.000.000.000.000.010.010.030.020.010.01------0.140.100.140.110.150.130.140.130.120.110.110.140.130.130.17-----
0.450.500.320.500.140.150.300.110.270.190.270.410.480.210.560.940.721.190.801.771.761.561.14------0.510.460.150.100.120.110.190.170.130.140.230.150.130.140.20-----
2.351.981.421.322.621.321.152.341.850.901.221.621.313.481.512.851.353.401.951.851.530.972.16------1.631.542.252.662.062.261.922.031.911.852.051.891.912.252.03-----
38.3045.4763.2868.3534.3868.2177.9838.5448.5910173.9555.6468.5425.8459.7031.5466.8226.4746.0948.5758.7993.2341.75------55.3858.2739.9233.8443.6239.8646.9944.2347.2448.7343.9147.5147.1939.9644.40-----
-111.79-24.92-8.93-26.46-29.84-17.77-1.84-69.39-28.93-20.85-19.69-12.41-12.18-10.24-11.16-6.71-8.85-20.9810.43-19.07-23.99-11.34-24.06-12.56-36.67-19.29-58.24-37.84-14.24-13.88-3.68-10.00-45.09-51.92-30.99-17.32590-72.70-169.16-140.41-41.25-89.08-23.03-0.43-----
-112.13-24.97-8.94-26.52-29.91-17.81-1.84-69.71-29.02-20.90-19.73-12.43-12.20-10.25-11.17-6.72-8.87-21.0310.47-19.22-24.16-11.41-24.22-12.63-36.89-80.36127286-99.66-53.47-10.91-59.63-255.77-3,309.85-280.46-56.2586.6730676.38282-333.02-310.70-48.41-26.95-----
-55.20-14.41-5.05-15.11-20.56-12.85-1.29-25.09-18.70-14.36-15.07-9.77-9.42-8.32-9.18-5.69-7.47-16.387.61-10.85-13.64-6.47-15.88-9.16-20.61-9.65-23.53-14.06-7.22-7.52-1.96-4.28-16.50-18.41-10.90-6.87-27.24-14.84-12.33-20.38-11.65-30.55-10.751.93-----
-111.79-24.92-8.93-26.46-29.84-17.76-1.83-65.18-27.57-20.02-19.69-12.41-11.90-10.01-10.92-6.64-8.80-20.7210.42-19.03-23.93-11.34-24.06-12.56-36.67-19.29-58.24-37.84-14.24-13.88-3.68-10.00-45.09-49.54-30.99-17.32590-54.23-85.53-97.29-31.46-82.34-23.037.89-----
4.1611.8238.863305086567872,1040.380.490.5969.690.780.870.961.051.120.990.952.142.553.480.3111.580.381.511.401.803.454.064.604.935.230.730.9615.69-0.020.120.113.930.931.201.6614.04-----
-8.38-7.09-15.86-647.89-499.50-363.84-380.84-32.37-32.64-22.84-12.88-40.44-0.31-0.22-0.12-0.52-0.31-0.41-0.42-4.14-2.30-3.58-2.34-24.37-19.00-18.92-0.610.00-1.45-1.14-0.65-4.64-2.74-2.24-1.57-25.04-18.54-1.47-1.65-17.80-0.90-0.68-0.340.00-9.59-6.87-2.670.000.00
-8.96-7.80-16.87-670.88-520.23-378.89-399.29-36.80-37.06-25.23-13.81-54.81-0.43-0.24-0.13-0.54-0.32-0.41-0.43-4.23-2.36-3.60-2.34-24.40-19.34-18.92-0.61--1.76-1.30-0.75-5.04-2.94-2.55-1.83-26.85-19.78-1.58-1.81-20.41-1.06-0.79-0.43--12.33-8.35-3.41--