Scotts Miracle-Gro Financial Ratios for Analysis 2009-2024 | SMG

Fifteen years of historical annual and quarterly financial ratios and margins for Scotts Miracle-Gro (SMG).

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
1.812.061.771.281.681.451.621.461.811.721.732.312.121.521.44
1.120.950.690.670.680.840.660.580.620.550.400.560.590.360.53
-9.7620.112.262.162.285.612.121.661.831.380.801.301.420.831.39
18.5122.2429.8332.6032.3132.4636.8135.9234.2034.5235.2734.5336.0537.7935.60
-4.91-11.0614.6814.1612.987.4716.4017.8610.7011.0011.198.719.8213.039.49
-4.91-11.0614.6814.1612.987.4716.4017.8610.7011.0011.198.719.8213.039.49
-2.31-8.3816.5816.4615.8110.6019.4420.7913.6113.5013.5810.9612.0215.1011.68
-12.76-14.2213.7512.3618.434.3411.9215.318.658.759.066.487.9511.537.58
-10.70-11.1510.419.3814.602.398.2612.586.746.465.813.846.007.105.58
1.040.911.031.221.040.870.960.910.941.251.431.341.361.331.24
3.292.273.074.483.953.744.104.073.944.385.534.374.635.063.85
11.6710.3610.198.3110.238.589.228.317.637.638.858.378.658.196.84
31.2735.2335.8343.9235.6742.5539.5943.9447.8147.8141.2343.5942.1844.5853.33
142-296.2151.0555.0460.3835.4829.9733.5120.3325.6522.4318.5424.9927.1722.69
40.1063.73-171.58-74.35-83.50-12.26-37.50-75.12-42.09-168.40144-764.38-203.05162-85.60
-11.13-10.1810.7811.4514.424.187.228.935.097.078.235.386.829.605.97
-16.60-14.7115.9217.9319.445.6910.3313.947.7611.5513.418.0710.3517.2910.74
-4.732.6618.2212.6212.966.5011.3912.1810.319.3411.469.829.2111.448.83
9.48-2.324.759.814.036.006.033.943.973.845.462.471.844.384.00
7.87-3.232.888.713.314.894.973.033.072.504.561.360.753.512.93

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
1.801.832.201.811.692.072.472.062.422.212.511.772.151.911.591.281.612.082.191.681.451.591.811.451.601.812.091.621.752.642.531.461.492.242.921.811.202.052.671.721.551.901.571.731.552.072.812.311.662.002.482.121.911.221.791.521.491.971.681.441.681.67
1.061.101.151.120.950.960.980.950.880.770.790.690.660.710.740.670.600.730.760.680.660.770.900.840.790.800.770.660.660.750.740.580.570.720.740.620.510.680.710.550.450.630.510.400.420.660.660.560.500.680.690.590.500.350.500.360.370.630.600.530.620.73
-17.03-11.23-7.85-9.7622.8525.9957.2520.118.323.913.902.261.952.693.192.161.722.933.282.282.393.859.015.614.314.583.512.122.293.002.851.661.812.852.891.831.512.672.541.381.102.111.420.800.962.261.921.301.142.492.231.421.021.501.260.830.832.081.791.391.863.51
29.4530.4015.16-15.2218.4126.9518.17-14.3419.9535.0620.9717.0930.7335.9525.4924.2535.2939.7914.8218.0036.1839.6811.5717.0034.9540.3815.3523.3939.3942.8117.746.3535.9541.898.5910334.7239.6313.55-0.4737.9240.1317.8830.6538.7237.4215.1129.0234.9839.4512.8325.5237.7940.9621.3334.2341.0939.5020.9223.7338.6337.88
16.6417.84-11.53-111.116.9113.46-7.94-45.38-47.4223.11-6.25-5.0418.7723.194.541.0819.0625.58-17.11-10.8322.0624.39-28.48-33.9218.6722.93-32.46-6.9624.2626.30-29.80-56.3521.8229.65-50.2322417.2221.61-49.03-23.3118.0020.08-47.31-4.3721.9017.06-44.66-13.6316.1318.55-49.60-18.0218.1721.74-41.05-8.4123.8918.72-27.34-24.2920.3015.56
16.6417.84-11.53-111.116.9113.46-7.94-45.38-47.4223.11-6.25-5.0418.7723.194.541.0819.0625.58-17.11-10.8322.0624.39-28.48-33.9218.6722.93-32.46-6.9624.2626.30-29.80-56.3521.8229.65-50.2322417.2221.61-49.03-23.3118.0020.08-47.31-4.3721.9017.06-44.66-13.6316.1318.55-49.60-18.0218.1721.74-41.05-8.4123.8918.72-27.34-24.2920.3015.56
--------------------------------------------------------------
15.2214.41-27.83-149.754.659.78-17.91-55.04-48.6221.15-11.43-8.5518.8222.104.420.6517.8324.14-26.00-14.7320.2943.99-35.53-38.2316.7119.93-39.10-14.8722.7622.10-43.54-55.3919.7728.12-63.1425915.9420.21-53.52-27.8116.8517.98-54.64-7.0520.4215.28-51.07-17.1014.5617.02-57.26-21.6216.7420.52-45.18-10.4722.9317.38-31.18-26.5419.1913.87
10.9910.33-19.62-125.103.917.14-12.29-44.59-37.4316.47-8.83-6.4814.0316.953.260.4313.5918.24-19.52-11.6317.2333.32-26.70-33.858.3414.69-9.57-8.8715.6115.22-31.49-36.7421.4416.87-41.8083.6912.0011.63-34.51-8.0010.9011.63-34.60-4.5913.039.92-32.90-11.608.8410.87-37.02-14.0110.5415.72-29.50-8.2115.0011.28-22.86-5.1712.008.23
0.340.390.110.110.250.310.120.110.240.270.110.150.350.370.190.260.390.330.110.160.340.300.090.140.280.280.080.140.290.290.070.030.310.340.07-0.010.370.360.100.090.450.350.090.220.480.350.100.170.440.380.090.190.420.370.100.180.460.340.110.130.450.32
1.401.290.300.491.030.990.280.420.670.680.270.541.161.150.521.081.961.120.360.761.401.060.350.751.291.010.270.711.431.040.250.171.361.170.240.001.811.110.270.501.791.180.260.901.811.030.270.591.461.180.270.731.491.200.320.741.701.200.340.481.380.88
2.381.741.431.230.961.051.071.301.251.171.361.531.521.301.501.791.301.181.551.611.571.151.431.401.411.091.301.311.501.111.180.241.251.071.01-0.091.421.031.170.571.490.991.131.351.671.041.221.041.721.031.101.181.530.991.081.131.871.051.180.721.580.93
37.7851.7463.0773.1193.3185.6783.8069.0772.2776.9366.0258.9659.1569.3059.8450.2569.2176.3158.0655.7757.4478.1362.8664.3963.7582.7269.3268.4760.0981.1876.2437571.9684.0789.26-991.2863.4287.7777.1815960.4790.6579.5166.6854.0086.3173.6486.1752.3887.1481.5276.3858.9991.0183.3579.4948.0985.3776.5212556.9496.48
-90.36-62.7720.8917532.4279.56-108.74-149.02-106.1728.36-6.01-4.8220.4733.063.710.5820.3531.44-11.33-7.6922.1163.80-32.62-36.3223.6230.79-3.94-6.3919.4622.29-9.81-3.7315.2632.82-15.06-8.0616.6024.32-16.06-6.2115.9818.60-10.57-2.6919.9116.33-13.29-6.3514.3021.45-15.75-9.5914.5418.84-9.83-3.3920.3016.95-9.30-8.4325.0318.56
-16.21-17.057.5849.43-6.43-16.038.3932.0695.73-53.907.5616.19-224.20-111.07-4.54-0.79-92.28-57.3311.6310.63-31.35-52.547.2912.55-12.94-20.402.708.00-35.17-35.3410.788.36-48.03-92.6219.4616.68-45.9828734.8640.7485.85526195-17.21114-1,457.3365.74262172-405.4545.3877.9494.18108-144.69-20.1693.1879339.4231.83-109.52-30.44
3.794.01-2.17-13.720.982.19-1.43-5.12-8.894.45-0.95-1.024.976.310.630.125.276.04-2.06-1.845.1310.03-2.56-4.283.524.27-0.69-1.544.384.06-1.93-0.993.906.14-2.91-2.023.814.61-3.27-1.714.824.09-3.04-0.996.253.42-3.21-1.844.044.12-3.38-2.624.424.83-2.96-1.206.723.74-2.19-2.225.562.83
5.776.28-3.12-20.461.583.34-1.99-7.40-12.426.39-1.28-1.507.069.530.950.198.118.59-2.74-2.477.5114.91-3.39-5.825.016.27-0.91-2.206.715.64-2.59-1.556.499.23-3.93-3.088.067.80-4.64-2.798.726.90-5.16-1.6111.455.60-4.57-2.767.126.91-4.91-3.977.2012.34-4.88-2.1612.796.24-3.75-3.999.605.10
-2.57-4.42-6.80-4.732.402.431.062.667.5517.6015.1218.2220.1116.8912.2112.6217.9914.3211.2812.9614.5311.234.586.509.598.928.8811.3912.6811.609.8912.1813.6911.248.5610.3111.319.337.599.3412.3410.999.9911.4612.009.849.389.8211.019.657.639.2112.0612.0010.2011.4412.4810.078.098.839.166.91
9.47-0.68-6.059.48-0.08-10.03-7.78-2.32-12.27-20.40-13.814.75-3.61-12.26-7.379.810.74-10.76-5.704.03-1.37-9.77-4.226.00-0.06-8.41-3.656.031.53-8.07-3.493.94-0.47-10.09-5.513.970.39-10.45-4.393.840.55-9.77-2.905.462.29-8.74-2.752.471.85-10.01-3.301.84-0.20-8.93-2.564.382.30-9.07-2.684.000.05-9.41
8.30-1.62-6.727.87-1.38-10.95-8.31-3.23-13.88-21.43-14.642.88-4.96-13.20-7.978.710.02-11.28-6.103.31-1.88-10.14-4.454.89-0.76-8.98-3.994.970.91-8.53-3.763.03-1.00-10.48-5.773.07-0.19-10.81-4.632.50-0.54-10.61-3.604.561.66-9.29-3.151.361.23-10.41-3.570.75-1.01-9.59-2.983.511.96-9.28-2.622.93-0.34-9.68