Silgan Holdings Financial Ratios for Analysis 2009-2024 | SLGN

Fifteen years of historical annual and quarterly financial ratios and margins for Silgan Holdings (SLGN).

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
1.021.481.521.511.381.201.351.121.341.711.751.962.242.092.15
0.570.660.710.720.680.710.760.740.680.670.690.650.660.620.53
1.811.992.432.602.192.623.333.332.372.232.392.222.091.631.17
16.5816.3416.1817.6215.9015.5015.5214.1714.7215.3314.7614.4214.7815.3815.04
9.949.3910.1510.418.019.268.738.308.509.228.749.0710.099.229.74
9.949.3910.1510.418.019.268.738.308.509.228.749.0710.099.229.74
14.4313.5714.6614.9512.6813.6613.0912.3712.3813.1213.3813.8114.7313.9714.54
7.057.408.218.275.626.595.866.426.727.276.876.248.277.228.07
5.445.326.336.274.325.036.594.244.584.665.004.225.504.715.20
0.790.870.730.760.910.970.881.151.181.191.121.091.181.411.38
5.316.975.965.985.975.924.795.145.116.046.135.955.405.936.73
9.999.747.987.948.898.709.0012.5413.3912.5911.1410.9810.3214.3215.60
36.5437.4645.7345.9441.0541.9540.5729.1227.2528.9932.7833.2335.3525.4823.40
17.2519.8422.9824.6418.9425.4235.2032.6726.9725.6925.9720.0829.3626.1323.25
-38.35-33.08-27.48-27.42-40.93-34.43-32.79-48.52-102.20-138.10-111.4421311392.2648.91
4.284.644.624.743.934.895.804.875.405.575.584.606.486.657.20
7.356.736.736.905.997.438.418.458.628.418.166.989.9210.0110.93
17.7415.6114.1511.389.247.986.948.535.295.625.635.454.713.968.96
4.426.745.015.414.554.543.503.272.742.732.712.522.551.222.10
2.344.802.923.402.482.831.931.680.801.631.911.661.330.541.45

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
1.061.041.021.391.441.421.481.391.301.331.521.071.561.581.511.471.341.211.381.010.981.151.201.171.111.071.351.261.231.321.121.341.271.291.341.371.311.331.711.581.541.631.752.161.331.331.961.972.522.422.242.162.071.312.092.142.222.122.152.251.961.44
0.570.570.570.650.640.650.660.660.670.680.710.690.700.710.720.720.740.680.680.650.660.700.710.710.720.730.760.800.820.760.740.640.660.670.680.690.710.720.670.660.670.680.690.710.700.710.650.680.700.690.660.660.680.610.620.530.510.520.530.570.600.57
2.032.041.812.362.222.331.992.272.512.432.432.832.462.632.602.833.212.972.192.742.922.992.623.203.543.563.334.995.704.433.332.422.812.722.373.043.383.492.232.522.662.562.392.863.433.492.222.702.702.752.092.142.352.461.631.391.181.231.171.411.711.90
18.5316.9716.3115.8617.5316.7815.9915.6217.7416.1914.8615.0317.4217.8916.2917.3619.0517.9614.9415.7116.7916.1614.2315.6216.3615.8115.2916.2315.5314.6510.9615.9614.6014.3713.6415.3814.6214.9713.4616.7415.6714.9613.8716.0814.5613.9812.7415.6914.0414.8413.9715.9414.2214.5013.7916.2115.6515.5613.0716.4315.4914.51
10.278.489.4110.7610.099.255.5811.1410.249.948.9410.1711.3410.228.5611.6911.159.916.8210.046.288.457.2310.599.839.118.6810.947.367.056.4810.747.737.256.3310.138.568.216.5012.029.387.956.3911.638.517.306.8311.628.358.568.3711.8511.497.635.4212.079.668.547.2412.629.687.99
10.278.489.4110.7610.099.255.5811.1410.249.948.9410.1711.3410.228.5611.6911.159.916.8210.046.288.457.2310.599.839.118.6810.947.367.056.4810.747.737.256.3310.138.568.216.5012.029.387.956.3911.638.517.306.8311.628.358.568.3711.8511.497.635.4212.079.668.547.2412.629.687.99
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7.285.556.248.146.816.663.209.428.387.816.928.539.388.026.389.838.967.494.587.893.685.814.648.446.776.105.668.524.084.184.359.225.805.174.348.706.736.204.5310.457.325.594.1310.186.765.125.0410.221.696.536.4210.359.495.653.0810.037.946.655.2711.277.826.40
5.514.194.816.135.535.081.697.046.005.895.916.447.015.924.907.586.645.593.326.152.834.553.576.485.234.5214.685.712.732.882.946.123.813.353.205.844.624.082.606.784.803.682.696.616.763.203.426.901.294.264.446.866.233.712.306.515.234.033.397.265.044.11
0.180.170.180.230.180.180.200.260.200.190.190.220.200.190.190.230.180.190.210.260.210.210.230.260.210.200.210.250.210.220.260.330.250.230.260.340.260.250.280.340.250.250.260.360.270.260.260.320.260.220.280.380.270.250.330.390.320.310.320.440.310.29
1.121.141.191.650.941.121.591.951.011.191.531.841.231.291.521.811.161.211.411.581.111.251.451.601.061.151.171.511.040.961.191.500.930.901.141.761.041.021.441.741.031.121.441.801.041.061.451.710.950.951.301.660.950.921.401.961.041.151.582.271.071.23
1.311.392.241.391.341.522.211.751.661.692.021.601.511.681.981.721.611.722.081.761.641.722.091.671.631.752.191.801.932.432.802.212.222.342.951.932.062.132.931.992.052.132.601.991.962.282.631.912.012.092.461.981.911.863.322.122.272.553.591.972.382.56
68.8564.6540.2664.6867.3459.4040.6951.3454.2953.2444.4856.3559.5153.6545.4652.3355.7952.4743.3651.1854.8952.2842.9953.9455.1151.4441.0949.8946.5437.0632.1940.7240.6338.4830.4946.6343.7042.1930.7345.1643.9242.1634.6645.2945.8839.5034.2447.2044.7643.1336.6045.4347.2248.3727.1242.5539.7035.3325.0845.7837.7635.21
3.942.903.416.214.224.041.438.195.705.185.447.306.805.744.809.267.175.643.408.393.335.194.339.296.605.5419.0711.625.144.745.059.284.833.984.1511.137.256.133.3310.665.814.343.2612.2610.874.983.9010.681.604.725.6411.808.054.442.968.205.043.823.4911.236.025.02
-10.30-6.90-7.58-12.00-8.95-7.38-2.39-14.16-8.23-7.05-6.51-7.48-10.04-7.06-5.34-10.10-6.44-11.88-7.36-15.70-5.29-7.59-5.87-13.32-7.68-5.92-17.77-7.54-2.68-7.89-7.50-143.92-29.38-18.93-15.74-37.93-17.51-12.16-17.90-111.02-38.55-21.05-13.99-150.74-46.29-15.2841.411335.8016.0521.6245.6136.2425.8910.4514.749.687.717.3424.9315.7414.41
0.990.730.851.421.000.920.331.841.181.101.091.411.411.140.921.751.231.040.711.600.610.950.831.681.090.923.151.440.570.640.751.990.940.790.832.011.211.000.722.291.210.920.702.411.860.820.892.220.330.961.252.611.700.910.752.531.661.241.083.221.551.21
1.701.241.452.171.511.400.492.811.861.671.592.292.071.651.342.581.861.801.082.931.121.551.272.741.841.524.562.340.931.121.313.301.621.301.333.402.091.691.093.611.901.381.023.503.301.441.353.420.481.441.913.982.581.731.133.872.451.831.644.842.422.16
18.1117.7917.7416.7317.0216.1615.6115.3614.7514.7914.1513.1912.5811.5611.3810.999.839.219.248.748.368.107.988.247.587.466.945.654.924.448.5312.4611.405.525.295.234.834.495.626.185.975.705.634.964.324.015.455.324.754.974.714.784.534.193.965.184.694.578.968.607.577.04
-4.92-5.124.42-5.48-7.35-5.706.74-1.06-3.16-2.405.01-0.05-1.88-1.555.411.06-0.57-1.514.55-0.02-1.16-1.404.540.12-0.83-0.813.50-0.04-1.25-1.273.27-0.10-1.34-1.242.74-0.39-1.12-1.142.73-0.41-1.27-0.812.710.01-1.24-0.522.52-0.04-1.39-0.752.550.54-0.37-0.421.22-0.18-1.12-1.002.100.12-0.47-0.24
-6.15-5.822.34-7.08-8.42-6.314.80-2.53-4.23-3.022.92-1.61-3.00-2.173.40-0.42-1.53-2.092.48-1.52-2.20-1.952.83-1.09-1.65-1.251.93-1.15-1.98-1.621.68-1.34-2.25-1.750.80-1.64-1.93-1.531.63-1.15-1.74-1.021.91-0.62-1.66-0.701.66-0.65-1.82-0.941.33-0.34-0.97-0.660.54-0.67-1.43-1.161.45-0.35-0.78-0.39