Smith Micro Software Financial Ratios for Analysis 2009-2024 | SMSI

Fifteen years of historical annual and quarterly financial ratios and margins for Smith Micro Software (SMSI).

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
2.211.283.064.696.995.941.651.443.022.582.475.225.577.444.48
----0.02-0.380.46-------
-0.12--0.02-0.820.85-------
74.1670.7178.2789.8890.9483.5277.8873.2179.3774.8077.2580.5076.1888.1285.56
-44.19-63.75-52.966.8623.31-4.62-24.70-56.33-6.42-31.75-65.21-62.32-286.7814.0910.36
-44.19-63.75-52.966.8623.31-4.62-24.70-56.33-6.42-31.75-65.21-62.32-286.7814.0910.36
-26.09-48.17-36.9713.8526.41-0.75-18.69-50.84-1.60-23.83-55.83-52.09-269.1723.1120.18
-59.32-59.89-52.778.4324.92-10.37-31.37-55.15-6.41-31.77-65.14-59.31-286.5614.1810.71
-59.70-60.35-53.148.1224.46-10.42-28.99-54.34-6.59-31.91-65.50-58.77-276.299.464.43
0.480.470.510.700.711.041.661.971.611.351.350.800.720.560.52
--------20996.0558.1348.0044.5341.9138.14
5.164.625.524.153.983.694.475.694.844.145.174.503.433.994.27
70.6779.0166.1687.8591.7399.0181.7464.1475.3788.0670.6781.1610691.4185.49
-32.36-38.33-30.877.0922.02-13.32-145.85-501.57-18.55-79.18-153.83-59.69-246.085.662.53
-225.53-583.48-135.6312.3429.49-16.47-1,686.331,118-18.55-79.18-153.83-59.69-246.0811.817.20
-28.51-28.27-27.115.7117.52-10.87-48.00-107.23-10.63-43.08-88.63-46.81-199.655.262.31
-32.36-38.33-30.877.0921.63-13.32-90.94-271.61-18.55-79.18-153.83-59.69-246.085.662.53
8.0610.8714.8311.3910.125.832.561.999.8210.6015.7238.0658.28200180
-0.86-2.78-2.021.482.16-1.03-4.40-7.70-0.04-5.39-14.34-11.43-12.1722.8717.96
-0.86-2.79-2.151.231.80-1.09-4.45-8.03-0.14-5.56-15.06-11.72-24.2417.0413.28

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
1.001.531.702.211.741.301.151.282.321.912.583.061.883.6911.684.694.753.823.556.996.964.163.435.944.373.942.361.651.401.111.021.441.421.772.403.022.993.143.082.582.481.962.232.471.913.624.135.225.305.295.415.575.806.686.017.445.355.324.694.486.545.225.30
--------0.04----------0.02----0.490.420.430.380.250.830.770.460.25------------------------------
----0.040.090.130.120.09----------0.02----0.940.730.760.820.819.226.360.850.33------------------------------
71.5868.7465.7174.8677.0274.9669.9770.8368.9871.4671.4472.0577.5578.9186.4288.5589.5090.1991.2091.6491.4291.0389.1487.3685.0083.9376.0476.3680.0378.0876.9975.4472.2474.3570.7179.9779.5677.9479.8878.7376.7071.2671.3679.9971.5177.1078.9380.5880.7582.3478.3075.7570.7277.9078.7888.5588.9187.3687.5088.2187.2884.9180.99
-140.00-135.78-542.36-66.27-19.83-31.38-63.45-62.79-71.42-66.06-55.27-27.45-112.27-32.73-28.44-0.091.5510.6514.7129.4829.5427.110.749.220.841.07-36.99-9.33-16.23-27.62-46.23-53.09-70.35-52.41-50.98-5.47-8.01-13.050.022.06-12.11-66.62-60.76-12.67-148.41-69.13-52.59-37.86-54.55-67.09-95.07-103.43-1,013.17-81.01-73.1416.8117.2411.749.7313.1314.8710.321.64
-140.00-135.78-542.36-66.27-19.83-31.38-63.45-62.79-71.42-66.06-55.27-27.45-112.27-32.73-28.44-0.091.5510.6514.7129.4829.5427.110.749.220.841.07-36.99-9.33-16.23-27.62-46.23-53.09-70.35-52.41-50.98-5.47-8.01-13.050.022.06-12.11-66.62-60.76-12.67-148.41-69.13-52.59-37.86-54.55-67.09-95.07-103.43-1,013.17-81.01-73.1416.8117.2411.749.7313.1314.8710.321.64
---------------------------------------------------------------
-137.03-134.81-534.12-76.55-46.53-54.78-62.93-68.59-49.45-66.77-54.83-26.92-112.28-32.60-28.345.601.6310.6615.3530.4930.2831.690.6237.87-14.96-31.16-43.40-12.63-28.67-33.21-51.51-56.49-71.33-43.83-51.01-5.46-7.97-13.050.012.03-12.14-66.64-60.76-12.65-148.33-69.06-52.48-37.77-43.29-66.79-94.84-103.14-1,013.06-80.75-72.9016.8617.4811.729.8712.7515.3110.782.71
-137.03-134.81-534.79-78.10-46.66-54.80-63.01-69.90-49.68-67.01-54.98-27.30-113.16-32.68-28.344.671.2710.6615.3528.9330.2831.660.5738.10-15.07-31.35-43.58-2.77-28.77-33.30-51.65-52.58-71.50-43.97-51.37-5.91-8.03-13.12-0.101.94-12.09-66.78-61.16-12.68-149.20-69.10-53.08-34.43-43.71-67.10-95.73-84.75-1,064.61-48.72-43.5816.379.106.015.334.107.124.911.17
0.100.100.100.100.120.110.110.110.110.130.120.130.120.120.090.170.180.180.190.200.210.260.250.290.310.330.360.410.370.420.400.500.340.410.330.410.390.380.400.390.350.390.320.380.250.240.230.220.190.160.150.140.140.070.080.150.150.150.140.140.150.140.13
----------------------------72.4498.8598.69-99.8979.7178.2651.3830.6131.3824.3423.1413.3414.5014.4914.1915.3818.4718.3813.289.467.618.578.8211.5210.9210.7310.929.879.9110.068.627.006.446.26
1.361.341.351.091.070.870.981.091.231.101.061.391.301.071.371.011.291.031.121.131.060.830.941.031.031.121.021.111.111.241.181.431.231.371.321.231.201.091.381.181.171.051.091.431.141.151.111.250.650.630.610.670.741.070.641.081.021.191.091.181.191.171.23
65.9566.9666.7682.8784.1810392.1182.8772.9282.1085.2264.9369.0584.4765.9089.5069.8287.2880.2779.8684.6910895.5487.2887.2880.1188.2280.7880.7972.3475.9663.0473.2765.9068.2773.3875.2482.8465.2376.0876.7285.3982.4662.7979.1878.4381.3472.0613814214713512284.4914083.3988.0175.4982.6776.1875.3576.6373.35
-16.87-16.15-68.23-8.90-6.68-7.61-9.32-10.44-6.97-9.77-7.43-3.99-17.92-4.36-2.790.990.282.423.877.547.9611.580.1813.62-31.33-54.64-63.83-3.48-36.61-417.09-444.45-121.77-85.91-42.98-35.01-4.21-5.44-8.49-0.071.38-8.01-59.26-37.68-8.27-68.98-23.25-16.45-9.71-10.48-13.70-17.25-14.69-183.16-3.79-3.642.651.530.960.830.651.110.740.17
-361.26-124.06-464.52-62.04-51.59-92.98-172.35-158.87-55.47-68.07-38.57-17.51-71.60-13.64-3.471.720.504.548.0210.1011.0720.370.3716.831163,628630-40.25-512.2750.9377.48272-591.57-63.76-35.01-4.21-5.44-8.49-0.071.38-8.01-59.26-37.68-8.27-68.98-23.25-16.45-9.71-10.48-13.70-17.25-14.69-183.16-8.07-7.645.523.572.392.221.842.711.960.47
-13.79-13.08-55.93-7.84-5.56-5.98-7.01-7.70-5.31-8.42-6.45-3.50-13.81-3.79-2.490.800.231.892.996.006.318.290.1411.11-4.70-10.19-15.62-1.15-10.68-14.10-20.73-26.03-24.30-17.81-16.98-2.41-3.10-4.94-0.040.75-4.21-26.26-19.55-4.76-36.93-16.65-12.29-7.62-8.31-10.92-13.89-11.92-149.79-3.51-3.352.461.400.880.760.591.050.690.15
-16.87-16.15-68.23-8.90-6.68-7.61-9.32-10.44-6.66-9.77-7.43-3.99-17.92-4.36-2.790.990.282.423.877.417.9611.580.1813.62-16.13-31.67-36.33-2.17-27.59-70.11-103.90-65.94-64.71-42.98-35.01-4.21-5.44-8.49-0.071.38-8.01-59.26-37.68-8.27-68.98-23.25-16.45-9.71-10.48-13.70-17.25-14.69-183.16-3.79-3.642.651.530.960.830.651.110.740.17
3.184.044.738.068.749.149.7510.8711.8612.6213.6614.8315.2217.8417.9211.3911.1611.0110.4710.129.317.416.505.831.001.271.642.562.560.260.431.993.505.217.219.829.8210.0410.6210.6010.128.0411.3815.7216.3526.9232.1538.0640.9644.4549.7158.2865.70185190200189184180180174175167
-0.79-0.53-0.14-0.86-0.71-0.96-0.75-2.78-2.08-1.69-0.97-2.020.340.230.681.481.540.810.432.160.98-0.35-0.17-1.03-0.97-1.02-0.97-4.40-3.19-2.34-1.13-7.70-5.24-2.520.18-0.04-0.23-1.040.52-5.39-5.73-7.10-3.05-14.34-11.55-7.41-3.40-11.43-16.07-12.41-7.29-12.17-5.170.22-2.0522.8714.2011.044.5917.9613.119.545.21
-0.79-0.53-0.14-0.86-0.71-0.96-0.75-2.79-2.09-1.70-0.98-2.150.230.180.651.231.310.650.281.800.81-0.42-0.20-1.09-1.02-1.06-0.98-4.45-3.22-2.37-1.14-8.03-5.45-2.620.12-0.14-0.32-1.090.50-5.56-5.79-7.15-3.07-15.06-12.25-7.53-3.48-11.72-16.32-12.48-7.34-24.24-16.90-9.91-8.0017.0410.338.003.3713.289.246.354.36