SM Energy Financial Ratios for Analysis 2009-2024 | SM

Fifteen years of historical annual and quarterly financial ratios and margins for SM Energy (SM).

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
1.451.230.690.350.540.920.980.541.720.951.010.630.920.550.70
0.300.340.500.520.500.470.550.540.580.510.500.500.400.210.32
0.440.511.011.100.990.891.211.161.361.021.001.020.670.270.47
76.2681.5180.7365.2868.5176.4255.0350.9253.5271.6273.9773.9681.9182.1575.15
41.5747.037.97-94.88-4.4040.46-14.50-86.82-37.1746.2216.06-1.3323.9731.00-15.72
41.5747.037.97-94.88-4.4040.46-14.50-86.82-37.1746.2216.06-1.3323.9731.00-15.72
70.8965.3138.16-23.6348.3873.3836.27-21.0622.4876.8952.1747.4856.9962.9922.30
38.5141.561.76-84.91-14.5331.53-30.44-98.72-46.4342.2112.15-5.5521.1428.81-19.16
34.4533.111.38-67.86-11.7624.60-14.24-62.24-28.7626.417.45-3.6013.4418.01-11.94
0.370.590.500.230.250.330.180.190.280.390.490.360.420.400.35
---------------
10.2714.4010.616.948.6112.347.058.0111.617.827.205.837.426.375.59
35.5425.3534.4052.6342.4029.5851.7645.5631.4446.6950.6762.6149.1657.3465.31
22.6236.041.76-37.92-6.8017.41-6.72-30.34-24.1729.1310.64-3.8414.7216.15-10.21
22.6236.041.76-37.92-6.8017.41-6.72-30.34-24.1729.1310.64-3.8414.7216.15-10.21
12.8219.450.69-15.36-2.978.00-2.60-11.85-7.9610.273.63-1.295.677.17-4.21
15.7623.870.87-18.07-3.419.22-3.03-14.05-10.2414.425.33-1.908.8012.76-6.96
31.2425.3016.9317.5724.3326.0221.4422.4427.2133.9023.9621.3722.8419.2515.51
13.2013.599.386.957.326.354.637.2214.6321.4119.6814.1511.267.686.98
3.986.503.892.14-1.691.172.82-17.17-2.26-14.972.18-8.23-7.522.161.55

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
3.521.291.481.451.171.201.341.230.990.620.720.690.300.260.300.350.731.151.630.540.630.570.410.920.620.911.420.981.532.212.400.543.790.951.341.721.111.010.960.950.560.741.121.010.550.670.630.630.650.700.730.920.720.720.820.550.540.640.780.700.720.811.06
0.400.290.300.300.320.320.330.340.350.390.480.500.560.590.560.520.520.520.530.500.490.490.490.470.500.480.520.550.550.540.530.540.610.660.630.580.540.530.540.510.500.480.490.500.510.520.520.500.470.430.400.400.280.320.340.210.190.190.190.320.330.350.34
0.670.410.430.440.460.480.490.510.550.640.941.011.271.411.281.101.081.081.130.990.960.970.960.891.001.071.071.211.201.161.111.161.571.931.701.361.161.131.171.021.020.920.961.001.031.071.061.020.900.760.680.670.400.470.520.270.230.230.240.470.500.530.52
76.9578.4775.4677.4478.4373.5775.1877.5680.8583.3183.1783.2482.1477.7577.2670.0466.1052.5866.3971.8166.9469.7864.4269.1972.2173.5584.2963.9358.48-3.0362.9660.0156.7556.53-1.0344.2850.2766.3546.4067.0771.1773.6974.1374.4474.0873.2374.0574.9872.9770.0676.9175.4485.3585.8879.1380.6380.3478.6686.5878.1573.8275.8971.98
51.4244.0331.8650.9130.5238.0147.4451.0474.4851.6911.8355.4916.61-32.03-47.52-53.72-36.70-184.33-135.24-19.5525.4925.58-54.35109-23.6512.6559.65-28.60-28.83-122.0444.58-74.26-5.01-67.45-368.14-166.458.65-9.86-14.8893.7357.6918.0320.336.3322.4225.799.54-19.31-11.3017.2114.90-47.4670.2656.03-6.3321.4813.6917.3857.694.150.25-2.86-68.00
51.4244.0331.8650.9130.5238.0147.4451.0474.4851.6911.8355.4916.61-32.03-47.52-53.72-36.70-184.33-135.24-19.5525.4925.58-54.35109-23.6512.6559.65-28.60-28.83-122.0444.58-74.26-5.01-67.45-368.14-166.458.65-9.86-14.8893.7357.6918.0320.336.3322.4225.799.54-19.31-11.3017.2114.90-47.4670.2656.03-6.3321.4813.6917.3857.694.150.25-2.86-68.00
---------------------------------------------------------------
46.2541.5929.1647.9427.5234.8644.3048.1671.8941.357.1750.8711.25-39.58-56.59-62.01-43.15-74.24-143.62-28.7314.9515.71-65.5999.38-37.593.6754.11-42.11-43.46-158.1931.91-87.03-18.33-77.40-378.88-176.84-0.28-19.03-23.6489.0753.9314.2016.512.4718.4321.945.60-23.44-16.1213.0411.13-50.6668.5052.24-9.3719.8910.9314.4155.841.04-3.78-6.54-71.05
37.3733.1423.4340.5934.6927.2134.6238.5057.6032.615.6749.7011.26-39.55-56.61-51.57-34.98-52.62-115.79-22.5910.8212.38-52.0878.57-29.593.8741.24-7.71-30.17-99.3319.97-52.89-11.60-49.35-242.68-112.030.84-11.14-14.5055.6833.778.8610.371.1011.5313.683.45-15.11-10.128.186.98-31.8043.3732.96-5.8712.636.818.5335.040.41-2.38-4.06-43.98
0.080.100.090.100.110.090.100.120.150.190.160.160.150.110.090.060.050.030.060.070.060.060.050.060.070.070.120.060.050.020.060.060.060.070.030.050.060.080.060.090.110.130.130.140.130.120.110.110.090.080.100.100.150.120.100.110.090.090.150.100.080.090.08
---------------------------------------------------------------
2.842.652.322.632.422.533.052.883.242.972.683.462.792.462.221.972.061.332.482.452.672.462.352.352.562.484.002.132.021.143.442.502.502.371.292.262.172.151.351.852.032.162.062.002.181.901.871.721.581.431.661.762.882.142.081.711.851.612.421.631.831.891.75
31.6933.9138.8634.1837.1435.5929.4731.2827.7930.2933.6126.0232.2336.6340.4845.6543.7567.4736.2636.8133.7136.6438.3638.2535.1436.2322.5242.3344.5078.8126.1736.0035.9337.9169.9139.7441.4841.8566.6148.7344.2441.6643.7845.0041.2547.2948.1452.3056.7962.7554.1151.2131.2042.0843.2652.5348.5555.9737.2555.3849.1847.5451.40
5.925.473.556.836.534.546.158.3816.7813.232.3120.595.23-14.36-14.20-8.19-4.50-3.91-17.59-3.711.491.80-6.4710.61-5.230.6311.70-1.10-3.69-4.792.85-8.05-2.21-12.51-23.02-18.370.14-2.63-2.3714.5110.703.423.920.444.455.011.16-4.75-2.601.631.77-8.2514.499.23-1.533.051.291.5311.130.10-0.44-0.82-8.08
5.925.473.556.836.534.546.158.3816.7813.232.3120.595.23-14.36-14.20-8.19-4.50-3.91-17.59-3.711.491.80-6.4710.61-5.230.6311.70-1.10-3.69-4.792.85-8.05-2.21-12.51-23.02-18.370.14-2.63-2.3714.5110.703.423.920.444.455.011.16-4.75-2.601.631.77-8.2514.499.23-1.533.051.291.5311.130.10-0.44-0.82-8.08
3.003.162.053.873.662.503.384.528.526.060.908.121.69-4.41-5.01-3.32-1.92-1.69-7.34-1.620.650.79-2.824.88-2.170.264.77-0.43-1.44-1.931.16-3.14-0.71-3.34-6.67-6.050.05-0.93-0.805.123.691.191.400.151.491.670.39-1.60-0.930.620.68-3.186.663.87-0.611.350.610.755.280.04-0.19-0.35-3.52
3.553.882.494.764.473.084.135.5510.848.061.1910.252.30-5.96-6.23-3.90-2.17-1.88-8.26-1.860.760.91-3.295.61-2.620.325.64-0.50-1.68-2.221.35-3.72-0.86-4.27-8.52-7.790.07-1.23-1.097.185.301.792.000.222.202.430.56-2.35-1.370.931.05-4.9310.366.29-1.012.411.051.249.000.07-0.30-0.54-5.33
35.5033.7032.1531.2429.2727.9326.8025.3023.3520.0517.3616.9313.4812.8315.4217.5719.0720.0920.7324.3325.2024.9024.4426.0223.1824.4724.2821.4421.6122.4523.5122.4421.2719.7622.1627.2132.1732.3733.1533.9028.9626.0124.9923.9623.6923.0021.6921.3722.3123.4723.2322.8424.8121.1919.0619.2519.0718.7718.0115.5115.9316.1817.34
10.486.502.3713.209.285.952.7113.5911.257.112.759.385.903.400.926.954.672.941.937.325.133.351.066.354.832.741.244.633.322.181.217.225.293.771.7414.6311.528.144.2121.4115.7110.484.4019.6814.668.784.1814.159.946.072.7711.267.275.532.477.686.464.182.396.985.653.872.01
2.140.84-0.483.981.870.630.746.506.494.171.553.891.450.27-0.372.140.940.200.70-1.69-1.74-1.64-1.111.172.032.692.922.823.914.975.84-17.171.30-1.37-1.06-2.26-2.19-1.43-3.70-14.97-9.65-1.69-0.732.18-2.37-2.60-1.40-8.23-6.54-4.22-2.14-7.52-3.96-2.91-1.802.162.913.314.051.550.990.43-0.12