Soluna Holdings Financial Ratios for Analysis 2009-2024 | SLNH

Fifteen years of historical annual and quarterly financial ratios and margins for Soluna Holdings (SLNH).

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
0.510.131.592.923.716.344.864.872.333.192.551.733.111.931.68
---------------
0.360.490.09------------
24.86-27.8843.7431.9366.4471.1468.3661.4260.9062.6061.0449.7163.2765.1767.91
-96.08-297.02-31.20-275.973.9418.898.33-5.12-23.226.434.32-38.030.51-40.32-37.17
-96.08-297.02-31.20-275.973.9418.898.33-5.12-23.226.434.32-38.030.51-40.32-37.17
-27.88-174.588.87-247.905.2720.089.47-3.91-21.967.385.41-35.853.49-34.60-29.22
-136.57-379.59-44.22-259.164.4919.158.33-5.22-23.257.9743.27-35.310.97-40.32-43.01
-173.31-366.15-41.073274.9224.018.24-5.09-44.748.4343.75-35.3623.18-20.90-37.31
0.230.340.120.071.140.991.141.362.451.601.841.221.612.342.22
----2.392.703.224.032.464.254.392.653.953.473.38
7.1589.2127.0210.088.829.265.028.016.807.3410.143.525.477.757.27
51.084.0913.5136.1941.3839.4372.6845.5753.6849.7136.0110466.7047.1250.18
-51.92-231.29-7.02-20.458.4327.8711.72-8.65-185.4617.54106-69.6833.53-173.35-166.37
-105.13-1,087.56-14.15-20.458.4327.8711.72-8.65-185.4617.54106-69.6833.53-173.35-166.37
-30.35-125.96-5.43-13.995.6223.799.38-6.93-109.5113.5178.94-43.1225.74-94.31-89.92
-51.92-231.28-7.02-20.458.4327.8711.72-8.65-185.4617.54106-69.6833.53-173.35-166.37
21.2961.8616515.1910.0118.4013.2511.517.2620.0516.1314.2623.3810.2610.59
-2.27-9.6011.724.960.755.280.972.18-6.783.144.79-7.160.33-7.89-11.37
-10.20-111.57-84.972.860.545.030.691.61-7.042.794.34-6.56-0.48-8.14-11.41

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
0.590.840.520.510.521.290.310.130.220.640.691.593.735.541.812.923.692.743.563.714.283.913.906.346.125.455.074.864.854.324.104.872.121.711.642.332.342.813.103.192.172.062.342.552.502.421.971.731.532.392.773.112.291.962.021.931.691.451.501.680.680.780.77
0.140.15--0.020.02--0.050.040.06----------------------------------------------------
0.500.600.340.360.380.160.360.490.350.220.340.09-------------------------------------------------4.4226.375.12
-18.1342.4855.2642.3624.27-18.86-2.14-51.80-75.58-16.524.9136.3544.2167.1167.0477.0676.1674.1466.7165.0264.9470.7264.5271.8369.3770.6672.6968.7769.6871.6361.0660.7565.3266.3748.0063.2355.8662.4361.0068.8759.7459.7758.1861.7562.1464.6755.6454.2142.7545.8351.9965.4762.9860.2863.2163.8966.5764.5066.5067.4870.2873.4957.07
-119.81-37.983.24-23.91-64.45-342.07-227.51-641.74-654.68-108.71-72.97-17.72-29.96-83.95-63.4249.9639.4624.59-8.97-7.800.1216.084.9230.0719.4518.90-16.9318.4716.53-31.53-12.3414.836.03-47.35-19.28-45.99-10.66-23.6629.12-2.537.18-31.26-12.1311.0310.232.9520.29-108.22-50.44-69.6823.45-9.07-18.74-4.08-3.73-34.34-34.38-117.36-22.53-33.74-17.26-94.84
-119.81-37.983.24-23.91-64.45-342.07-227.51-641.74-654.68-108.71-72.97-17.72-29.96-83.95-63.4249.9639.4624.59-8.97-7.800.1216.084.9230.0719.4518.90-16.9318.4716.53-31.53-12.3414.836.03-47.35-19.28-45.99-10.66-23.6629.12-2.537.18-31.26-12.1311.0310.232.9520.29-108.22-50.44-69.6823.45-9.07-18.74-4.08-3.73-34.34-34.38-117.36-22.53-33.74-17.26-94.84
---------------------------------------------------------------
-114.82-101.23-24.64-54.75-93.96-474.08-258.89-660.72-889.67-165.46-103.90-39.64-29.87-83.77-62.9149.3940.9524.67-8.84-7.320.3017.185.2930.2619.7719.150.3117.0818.5216.53-31.84-12.2814.795.97-47.84-19.28-46.06-10.66-23.7233.65-2.537.18-31.2619411.2110.632.9519.63-108.86-37.26-69.4423.45-9.07-18.46-2.43-2.42-35.61-34.23-118.23-30.75-45.90-19.08-95.09
-95.55-140.03-41.87-118.95-114.92-519.78-229.14-792.97-877.15-75.58-95.60-40.16-19.53-70.85-66.930.3740.8724.67-8.65-7.662.3217.185.2946.5819.1318.210.3116.7818.5216.53-31.84-11.7314.745.97-47.84-111.68-47.07-11.17-23.7235.12-2.737.18-31.262107.104.413.9120.25-106.09-41.73-68.2772.98-4.34-4.537.6010.09-18.48-21.37-75.99-21.75-44.99-18.74-80.31
0.080.100.140.110.060.020.040.050.060.060.070.070.070.060.11-0.820.440.340.280.260.330.360.360.320.270.310.260.320.330.350.260.350.830.720.540.560.300.400.330.540.440.530.350.350.500.520.490.460.260.270.220.510.560.520.630.770.600.610.440.650.450.470.34
------------1.510.460.36-0.780.440.560.560.620.540.740.850.730.760.540.910.860.770.861.040.870.510.640.530.571.030.831.200.921.220.820.811.180.951.070.920.430.630.571.180.760.781.101.180.740.970.731.000.550.490.47
3.682.822.833.432.861.356.8213.073.1412.6128.7516.143.042.121.28-120.593.541.941.631.982.212.071.632.971.762.181.561.431.331.761.362.033.213.031.811.551.451.691.622.491.981.851.671.911.702.082.471.342.442.101.821.742.242.131.542.551.952.171.822.122.941.352.74
24.4631.9431.7626.2231.4266.8913.206.8928.667.143.135.5829.5942.3770.55-0.7525.4146.3355.3245.4640.7743.5155.1730.2551.0241.2857.5562.8367.7151.1166.2044.2728.0229.7249.5957.9161.8853.2355.5136.1145.3748.7453.8647.1252.8943.3536.4967.0536.9042.8349.4151.6940.1642.2258.5135.3646.2341.4149.4342.4230.6066.7132.89
-15.69-18.32-5.21-9.37-10.86-15.79-14.81-59.73-81.00-13.24-10.43-3.78-2.41-6.67-11.60-53.7925.9113.93-3.86-3.030.978.072.4417.386.246.880.106.817.637.53-10.93-5.0621.939.57-59.98-105.83-19.63-5.92-10.0524.82-1.695.60-14.5296.824.382.682.0914.71-46.49-13.82-20.2147.12-8.60-18.26-2.82-3.62-44.45-49.23-115.25-35.91136-448.09-313.48
-25.60-33.13-10.52-18.97-23.12-34.43-46.18-280.86-184.22-21.57-20.72-7.61-2.41-6.67-11.60-53.7925.9113.93-3.86-3.030.978.072.4417.386.246.880.106.817.637.53-10.93-5.0621.939.57-59.98-105.83-19.63-5.92-10.0524.82-1.695.60-14.5296.824.382.682.0914.71-46.49-13.82-20.2147.12-8.60-18.26-2.82-3.62-44.45-49.23-115.25-35.91136-448.04-313.48
-8.31-9.27-2.81-5.48-6.39-9.58-8.82-32.53-51.16-9.53-6.70-2.92-2.00-5.44-6.67-36.8017.938.30-2.55-2.020.776.231.8914.835.255.660.085.456.105.83-8.34-4.0512.214.28-26.02-62.49-14.04-4.45-7.7619.11-1.193.82-10.7972.433.151.951.429.10-28.12-9.95-15.2236.18-5.08-9.65-1.54-1.97-21.53-20.80-51.72-19.41-20.84-9.15-28.36
-13.56-15.51-5.21-9.37-10.66-15.48-14.81-59.73-76.74-12.76-9.78-3.78-2.41-6.67-11.60-53.7925.9113.93-3.86-3.030.978.072.4417.386.246.880.106.817.637.53-10.93-5.0621.939.57-59.98-105.83-19.63-5.92-10.0524.82-1.695.60-14.5296.824.382.682.0914.71-46.49-13.82-20.2147.12-8.60-18.26-2.82-3.62-44.45-49.23-115.25-35.91136-448.04-313.48
6.759.5417.2021.2938.1549.2749.3661.8611318915616576.1441.0613.6715.1915.2511.299.6910.0110.2710.169.3318.4015.2014.2513.2813.2512.3211.3610.4311.517.155.384.657.2614.7717.4918.3520.0514.9615.1014.1516.1315.8615.0912.2514.2612.1217.5119.6823.3812.8511.3311.5410.268.317.458.7310.59-3.470.532.14
-0.44-0.761.37-2.27-3.12-3.41-3.53-9.60-8.053.721.4411.725.662.342.564.963.91-0.16-0.870.751.040.55-0.685.282.492.110.760.97-0.11-0.12-0.582.182.510.71-0.18-6.78-4.70-2.00-1.443.14-1.17-1.84-2.234.793.592.753.26-7.16-6.03-1.461.470.330.140.65-1.36-7.89-9.04-4.91-2.31-11.37-8.51-12.05-7.17
-0.91-0.771.21-10.20-10.38-4.84-4.24-111.57-108.63-89.09-44.40-84.97-29.04-0.481.802.862.93-1.06-0.890.540.910.49-0.735.032.291.930.700.69-0.26-0.16-0.581.611.990.36-0.55-7.04-4.96-2.24-1.602.79-1.43-1.99-2.244.343.332.603.06-6.56-5.41-1.071.47-0.48-0.460.08-1.43-8.14-9.20-5.05-2.38-11.41-8.51-12.05-7.17