Standard Motor Products Financial Ratios for Analysis 2009-2024 | SMP

Fifteen years of historical annual and quarterly financial ratios and margins for Standard Motor Products (SMP).

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
2.452.361.491.981.801.751.741.671.971.862.021.881.751.791.78
0.190.230.000.000.000.000.000.000.000.000.000.000.000.000.06
0.240.390.210.020.110.110.140.120.120.150.060.130.270.310.37
28.6327.8929.0229.8329.1628.6429.2730.4728.9129.5429.5327.3626.2025.6024.10
6.827.599.939.658.307.448.749.337.808.708.837.537.425.772.40
6.827.599.939.658.307.448.749.337.808.708.837.537.425.772.40
9.009.6812.0512.2310.599.6610.8211.209.5810.4310.609.279.097.324.21
6.027.1710.049.518.077.048.649.317.628.348.647.167.374.941.63
2.514.037.005.095.093.943.405.714.734.395.234.367.132.710.47
1.051.091.081.181.261.301.421.381.431.461.601.651.591.651.52
1.911.871.972.292.192.232.422.362.422.482.572.582.602.502.79
8.478.187.195.708.996.937.977.867.857.757.869.638.407.725.89
43.0744.6050.7564.0540.6252.6545.8046.4246.5147.1046.4637.9143.4547.2661.95
9.7311.7716.2314.6213.6912.179.6214.1512.2814.1415.1813.9723.6511.773.05
14.9518.8326.5319.2219.1016.1813.2220.1515.6418.5819.1818.2730.0412.513.28
4.905.838.308.417.646.745.548.127.077.858.627.4511.685.011.22
7.909.0816.2314.6113.6912.179.6214.1512.2714.1415.1813.9723.6411.752.86
29.7028.7727.8224.6222.4520.8320.1519.3117.3116.3415.2213.4811.929.268.67
6.51-1.243.784.293.373.062.794.242.822.022.484.063.241.245.28
5.22-2.422.643.512.662.191.733.332.041.421.993.552.770.884.91

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
2.462.662.452.042.262.502.362.222.051.421.491.491.521.971.981.961.751.681.801.691.541.681.751.751.631.621.741.701.651.631.671.731.621.991.971.941.821.841.861.791.691.922.021.931.701.711.881.711.571.731.751.771.651.761.791.591.541.711.781.471.421.33
0.240.240.190.130.200.250.230.260.25-0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.080.060.100.070.00
0.320.330.240.230.350.430.390.440.440.400.210.220.230.080.020.020.180.220.110.170.280.180.110.110.200.210.140.160.170.180.120.160.240.120.120.060.140.190.150.160.160.090.060.090.210.240.130.200.340.280.270.170.290.330.310.360.430.480.370.640.801.14
28.5927.0128.0429.7028.6827.8229.0628.0026.8127.8328.6128.4129.0230.3033.3031.3625.9627.6830.1929.9329.1327.4728.9929.4328.3627.7228.9029.3728.9929.7929.0631.8030.1330.5530.6330.2027.0128.0730.7730.0428.4029.1830.5230.3228.8028.5330.1428.1925.7925.7727.7527.3025.8924.1326.2426.3825.2724.4325.0624.2323.5023.74
6.414.413.429.017.706.325.108.817.768.347.8110.4110.7910.6010.8213.966.465.637.2610.179.096.337.469.168.154.706.639.529.409.025.8111.1611.028.384.7211.097.916.558.7011.036.478.777.2010.5510.086.956.439.668.444.583.669.659.555.653.767.946.683.78-2.614.734.242.15
6.414.413.429.017.706.325.108.817.768.347.8110.4110.7910.6010.8213.966.465.637.2610.179.096.337.469.168.154.706.639.529.409.025.8111.1611.028.384.7211.097.916.558.7011.036.478.777.2010.5510.086.956.439.668.444.583.669.659.555.653.767.946.683.78-2.614.734.242.15
--------------------------------------------------------------
6.274.032.418.526.995.223.678.257.798.548.0010.4410.8910.7610.8213.976.395.086.989.768.986.176.618.867.884.455.939.489.499.165.8911.0610.978.394.3910.777.946.438.1010.486.418.467.0810.499.816.625.839.418.124.234.839.439.195.152.917.265.882.75-4.313.934.800.78
4.382.662.211.722.593.632.572.325.326.026.036.497.937.593.248.334.423.394.774.796.374.311.345.315.563.05-3.604.675.685.573.636.866.665.112.556.844.973.935.093.723.905.044.096.555.943.983.086.104.992.4516.835.525.473.051.304.243.331.32-3.401.502.690.31
0.280.250.220.300.270.250.250.290.270.250.260.310.300.280.300.360.260.270.270.330.310.310.290.350.340.310.300.340.370.340.300.380.360.340.300.390.380.330.320.370.390.360.360.420.400.360.330.450.420.370.320.450.450.420.350.410.420.350.330.380.370.31
0.550.460.410.570.500.450.410.510.480.440.470.640.600.490.550.760.520.500.460.630.580.560.500.660.620.570.520.600.650.600.520.680.640.550.500.700.710.580.540.650.670.580.560.680.650.560.500.800.750.600.510.730.760.690.530.720.790.650.600.780.760.62
1.631.631.811.861.621.561.841.661.571.431.721.651.621.591.431.441.341.531.911.821.701.631.571.821.651.631.711.721.671.571.711.861.721.671.651.801.681.511.721.771.891.851.751.861.781.821.951.711.701.731.671.721.601.581.651.331.331.261.281.191.160.95
55.2555.3849.6148.4655.6057.8448.9554.3857.5162.8152.4554.5455.7256.6663.0462.3566.9858.6447.2449.4252.9055.2457.4149.5554.5955.2052.5352.2554.0457.4252.7348.3952.4653.9454.3850.0553.6659.6152.2250.9947.6548.6851.5248.3750.5749.5646.1252.6252.8151.9453.8052.4056.2957.0754.6367.7267.6071.4570.1675.4377.3894.94
2.801.531.123.862.872.011.373.803.413.303.274.884.713.984.136.652.321.942.534.594.242.772.604.073.641.87-1.793.643.873.582.004.804.723.121.474.893.572.453.084.863.073.492.695.094.963.012.055.754.781.9610.865.805.773.211.275.304.011.46-2.702.733.320.49
4.242.331.725.984.473.172.196.105.505.315.358.147.725.205.448.863.182.703.526.486.073.653.465.414.912.55-2.464.985.304.992.856.906.983.931.886.264.613.194.046.464.124.573.406.486.423.972.687.586.472.4613.796.646.663.401.365.654.291.57-2.913.013.650.54
1.330.740.561.921.410.960.681.761.571.571.672.442.422.272.383.811.251.021.412.462.121.441.442.301.981.02-1.032.062.151.971.152.642.471.790.852.801.951.341.712.571.591.941.532.782.441.491.092.822.160.955.362.692.511.330.541.991.470.56-1.080.881.050.14
2.141.160.913.362.291.501.062.822.563.303.274.884.713.984.136.642.321.942.534.584.232.772.604.073.641.87-1.793.643.873.582.004.804.723.121.474.893.572.453.084.863.073.492.695.094.963.012.055.754.781.9610.855.805.773.211.275.304.001.34-2.542.473.090.48
30.1429.9029.7029.7129.4829.1928.7728.3028.5228.4127.8227.3726.7825.1224.6224.3722.8522.2622.4522.1221.7521.1520.8321.1520.6020.4220.1520.8720.7220.0219.3119.3118.5117.8617.3117.3816.9416.5616.3416.0015.8915.5415.2215.0314.3813.8213.4813.3012.6512.1811.9210.7110.369.549.269.268.918.708.679.158.998.65
-0.46-2.046.515.971.77-0.93-1.24-3.45-4.28-4.633.783.511.02-0.504.293.45-0.04-1.433.371.89-0.86-1.173.062.950.18-0.272.791.59-0.29-1.154.243.591.03-0.062.823.151.13-0.612.021.410.760.402.481.45-0.53-1.164.062.750.92-0.393.242.490.91-0.521.240.21-0.13-0.785.285.253.631.00
-1.49-2.495.225.161.35-1.12-2.42-4.35-4.88-4.912.642.650.50-0.723.512.88-0.44-1.632.661.35-1.19-1.302.192.26-0.31-0.571.730.82-0.67-1.293.332.930.59-0.242.042.520.69-0.781.421.010.480.281.991.08-0.77-1.273.552.400.69-0.502.772.200.71-0.620.88-0.07-0.34-0.874.914.983.430.93