Sleep Number Financial Ratios for Analysis 2009-2024 | SNBR

Fifteen years of historical annual and quarterly financial ratios and margins for Sleep Number (SNBR).

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
0.220.210.230.280.270.310.500.610.811.241.381.581.611.210.68
---------------
-1.22-1.05-0.90-1.09-1.45-1.820.27--------
57.6756.8760.3662.2761.9460.5962.1261.7861.0361.1162.6763.8063.2962.4561.64
1.223.218.869.966.606.036.365.856.198.809.4512.8112.178.653.80
1.223.218.869.966.606.036.365.856.198.809.4512.8112.178.653.80
5.146.4011.6213.2810.2410.0810.6110.2110.1112.2412.6514.9913.9911.067.30
-1.052.318.579.485.925.656.305.796.218.839.4812.8412.178.342.70
-0.811.737.047.504.824.544.513.924.165.886.268.358.145.216.53
1.992.222.382.322.113.263.062.872.422.442.522.732.833.564.60
6.928.008.208.617.427.116.496.685.468.408.939.5210.9811.5813.34
70.2781.3084.9658.2585.0161.7774.8066.5527.4158.7464.1056.2853.6861.1260.55
5.194.494.306.274.295.914.885.4813.326.215.696.496.805.976.03
3.46-8.36-36.18-62.14-51.34-63.4872.9932.0722.7226.4626.6840.3246.7454.45158
3.01-7.23-31.03-46.89-35.18-37.6056364.6736.3528.2128.8340.9346.7454.45158
-1.613.8416.7217.4010.1514.7913.7911.2510.0914.3315.7422.8323.0318.5730.07
3.46-8.36-36.18-62.14-51.34-63.4872.9932.0722.7226.4626.6840.3246.7454.45158
-19.88-19.90-18.73-8.82-5.70-3.552.303.684.504.874.103.462.291.050.41
-0.401.5812.039.846.233.644.103.232.072.671.581.761.611.291.37
-2.95-1.469.358.534.372.392.682.000.431.250.200.861.201.161.31

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
0.190.200.200.220.220.230.230.210.210.230.200.230.220.220.230.280.320.250.470.270.260.270.270.310.360.390.410.500.550.510.590.610.780.720.780.811.011.211.261.241.191.261.391.381.521.611.481.581.581.651.751.611.441.351.341.211.110.980.870.680.330.300.42
--------------------------------------------------------0.000.000.01--0.01-0.01-0.01
-1.15-1.21-1.17-1.22-1.16-1.15-1.11-1.05-0.93-1.00-0.88-0.90-0.82-0.95-0.95-1.09-0.33-1.39-2.86-1.45-1.30-1.79-1.75-1.82-2.50-8.632.110.27-0.12---0.09----------------------0.000.000.01--0.69-0.95-1.73
60.8359.1358.7056.5557.3657.6058.9354.6656.0759.1857.3556.8660.9660.4762.6362.6763.0657.2163.9362.5962.4361.0161.4960.9760.4059.7161.1160.7862.9562.0462.5763.0063.1461.8559.2356.2462.4861.9561.7060.3661.4160.6662.0060.8763.1163.3663.2863.4565.1264.1162.6262.9363.0163.4863.7663.0462.4562.2362.1062.8663.4461.6258.58
1.981.501.18-4.561.142.454.930.182.349.090.842.9811.366.1413.4513.1313.11-4.2611.187.488.252.047.679.266.100.666.925.549.69-1.089.104.8910.610.875.64-14.2812.146.0412.508.6510.935.419.334.1811.647.2813.648.8016.3012.6013.0710.5613.2610.9213.677.7210.487.158.985.488.120.790.19
1.981.501.18-4.561.142.454.930.182.349.090.842.9811.366.1413.4513.1313.11-4.2611.187.488.252.047.679.266.100.666.925.549.69-1.089.104.8910.610.875.64-14.2812.146.0412.508.6510.935.419.334.1811.647.2813.648.8016.3012.6013.0710.5613.2610.9213.677.7210.487.158.985.488.120.790.19
---------------------------------------------------------------
-0.85-1.51-1.44-7.52-1.180.283.20-1.351.308.430.432.6011.075.8013.2812.9912.76-5.6410.686.887.591.137.068.755.660.206.795.489.63-1.179.064.8410.540.785.61-14.2912.166.0912.548.6810.965.459.374.2211.677.3213.688.8416.3312.6213.0710.5613.2710.9013.667.6710.457.117.894.726.97-0.44-1.08
-0.74-1.24-1.59-5.86-0.490.162.18-1.090.936.360.392.268.394.5911.7310.809.66-4.438.285.465.911.205.966.554.401.185.294.356.36-0.276.213.607.000.513.67-9.868.524.018.235.887.283.616.152.787.684.799.095.6710.628.278.548.138.646.998.594.796.554.464.9125.874.68-3.28-1.93
0.490.460.520.450.490.480.550.520.570.580.580.540.720.570.690.710.680.370.470.550.590.450.550.880.880.670.850.770.840.650.850.690.730.610.730.430.660.580.710.680.680.600.700.600.680.600.700.640.710.700.860.720.840.830.970.870.951.031.181.151.791.391.13
1.801.741.931.621.731.601.851.982.091.852.182.012.902.162.582.612.361.492.081.902.061.581.971.891.811.411.741.691.881.552.211.551.921.431.781.081.801.532.392.392.562.142.362.252.352.203.062.272.972.703.942.823.522.873.782.803.703.193.873.243.482.953.39
25.0620.1521.5515.9925.3719.0422.6119.1320.2119.1921.5119.1319.1819.5421.9217.8216.2518.0965.9122.0818.5915.5922.9116.6116.3611.0617.8318.8119.0810.1121.6115.9115.5111.7817.494.8514.2313.4519.5616.3611.0916.3817.7415.4117.3014.4217.7813.2816.2218.8121.0713.6625.0322.6322.0615.0056.1218.7258.7415.1942.2615.0612.50
3.594.474.185.633.554.733.984.704.454.694.184.704.694.614.115.055.544.981.374.084.845.773.935.425.508.135.054.784.728.914.165.665.807.645.1518.576.336.694.605.508.115.505.075.845.206.245.066.785.554.784.276.593.603.984.086.001.604.811.535.932.135.987.20
0.701.131.685.700.55-0.18-2.701.24-1.15-7.89-0.44-2.62-12.21-5.51-20.03-27.40-49.917.75-25.10-15.11-17.06-2.72-20.39-24.64-33.59-17.7057.0817.7124.55-0.6818.237.0414.590.816.93-9.5211.714.3210.667.389.463.647.322.858.964.6411.166.4513.9010.0413.8911.8815.6512.5921.9312.2821.1016.5125.56157-17.808.546.24
0.610.981.464.950.48-0.16-2.331.07-0.99-6.82-0.38-2.25-10.51-4.68-16.46-20.67-29.105.33-17.12-10.36-11.77-1.85-12.74-14.59-14.01-3.83-50.0613797.86-2.1844.5314.2027.081.5412.41-15.2317.054.6011.327.8610.123.927.883.089.695.0412.176.5513.9010.0413.8911.8815.6512.5921.9312.2821.1016.5125.56157-17.808.546.24
-0.36-0.57-0.82-2.65-0.240.081.19-0.570.543.680.231.216.082.608.107.676.58-1.643.862.993.500.543.305.743.880.804.483.355.35-0.185.292.475.120.312.70-4.235.632.325.854.004.962.184.321.685.202.866.393.657.575.817.385.857.245.788.314.196.234.615.8029.868.39-4.56-2.18
0.701.131.685.700.55-0.18-2.701.24-1.15-7.89-0.44-2.62-12.21-5.51-20.03-27.40-49.917.75-25.10-15.11-17.06-2.72-20.39-24.64-33.59-17.7057.0817.7124.55-0.6818.237.0414.590.816.93-9.5211.714.3210.667.389.463.647.322.858.964.6411.166.4513.9010.0413.8911.8815.6512.5921.9312.2821.0016.4625.41157-17.978.626.31
-20.06-19.99-19.97-19.88-18.93-18.87-19.16-19.90-19.88-20.17-21.11-18.73-19.43-17.09-13.60-8.82-3.70-5.88-5.64-5.70-5.79-5.36-4.13-3.55-1.64-0.610.972.302.622.793.223.683.933.784.014.505.374.975.174.874.674.334.284.104.093.853.783.463.363.002.852.291.961.601.361.050.900.680.560.41-0.85-1.02-0.96
2.241.041.50-0.401.420.830.821.583.551.261.0412.0312.086.414.209.8410.033.122.956.236.372.302.153.643.840.791.254.104.242.131.993.233.131.001.312.072.550.860.922.672.520.910.711.581.620.650.801.761.710.750.781.611.320.600.581.291.280.520.551.371.160.790.54
1.490.421.09-2.95-0.72-0.500.13-1.461.21-0.350.219.3510.055.143.778.539.052.342.594.374.891.281.612.392.870.211.032.683.341.481.692.002.300.501.060.431.360.120.581.251.440.180.400.200.58-0.010.550.861.070.360.611.201.060.430.531.161.210.490.531.311.120.750.51