StoneX Group Financial Ratios for Analysis 2009-2025 | SNEX

Fifteen years of historical annual and quarterly financial ratios and margins for StoneX Group (SNEX).

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
2024202320222021202020192018201720162015201420132012201120102009
1.811.491.401.711.751.981.621.421.351.371.111.111.081.081.101.22
0.560.510.590.750.720.730.840.200.090.100.120.12--0.070.23
3.133.544.195.183.794.286.802.352.461.650.960.851.261.571.321.29
2.954.082.512.921.802.462.401.823.201.290.980.750.470.440.390.17
0.350.490.410.350.230.320.360.190.640.270.110.070.040.090.060.05
1.531.900.680.570.42-0.070.140.190.640.270.110.070.040.090.060.05
1.652.060.810.720.510.000.210.260.740.310.140.110.060.100.070.06
0.350.530.420.360.380.340.370.050.490.230.080.050.030.080.040.03
0.250.380.300.270.310.250.200.020.360.160.060.050.020.050.010.06
3.642.773.332.264.023.313.534.712.486.8411.1914.9222.5927.6623.2228.03
----------------
12.017.478.897.3613.3411.0810.9510.297.5417.0117.7123.6436.6241.4140.30255
30.3948.8941.0449.6127.3632.9333.3435.4648.4121.4520.6115.449.978.829.061.43
15.2617.2919.3512.8722.1014.3210.981.4212.6114.035.675.555.4311.594.734.45
16.0118.3921.0514.4825.7816.1712.461.6414.5016.436.826.736.6014.296.074.72
0.951.091.040.621.260.860.710.100.921.100.640.650.581.310.570.69
6.748.407.973.266.223.831.801.1411.4412.585.014.885.4311.594.423.41
35.7529.4723.4220.2717.6013.8411.8810.6710.469.388.137.767.337.106.136.16
10.69-0.51-5.0847.9445.204.57-11.1224.67-0.660.893.081.05-2.145.002.81-0.76
9.31-1.52-6.1846.6144.814.29-11.4124.29-1.030.682.980.93-2.344.762.69-0.88

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
2025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.911.771.811.641.611.591.491.531.491.521.401.411.521.741.711.651.751.861.751.981.742.011.981.911.881.741.621.431.531.451.421.471.411.431.351.061.061.071.371.081.071.111.111.101.101.121.111.091.081.081.081.091.091.091.081.081.101.101.101.171.161.211.221.261.27
0.520.570.560.510.600.460.510.520.470.410.590.650.860.770.750.710.720.730.720.740.660.720.730.710.740.660.840.300.550.200.200.240.19-0.090.100.100.100.100.110.110.110.120.120.120.120.12--------0.030.040.040.070.060.080.170.230.170.17
3.293.643.133.403.773.003.543.423.403.074.194.289.615.615.184.714.293.693.794.393.443.944.284.575.014.386.803.223.693.012.352.423.192.742.462.723.022.151.651.681.910.910.961.170.900.940.850.981.411.321.261.131.371.151.571.562.191.611.320.861.050.851.292.282.90
2.222.912.552.923.163.434.034.433.674.232.912.182.592.382.413.173.162.991.762.951.341.821.902.642.832.782.762.482.661.831.162.442.452.034.272.573.243.205.032.710.780.700.841.121.050.960.760.860.650.740.490.490.500.390.380.390.600.440.280.390.500.460.100.250.14
0.261.49-0.440.320.301.690.440.630.360.550.410.370.490.370.040.420.680.29-0.330.680.310.47-0.710.810.890.88-0.570.740.750.42-0.080.480.450.280.740.600.730.531.300.550.160.120.100.090.160.08-0.060.090.030.180.070.050.040.010.050.090.180.06-0.010.110.130.03-0.020.090.05
1.161.551.401.501.541.762.042.161.551.850.950.580.650.560.250.660.870.510.070.870.450.49-1.850.810.890.88-1.570.740.750.42-0.080.480.450.280.740.600.730.531.300.550.160.120.100.090.160.08-0.060.090.030.180.070.050.040.010.050.090.180.06-0.010.110.130.03-0.020.090.05
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0.260.420.320.330.330.490.450.630.360.730.410.370.530.370.040.450.680.290.560.590.280.190.300.270.430.370.340.460.450.23-0.180.270.260.140.690.440.540.361.110.430.130.100.070.060.120.05-0.080.070.010.150.090.030.020.000.040.080.160.04-0.030.090.11-0.01-0.040.070.04
0.190.300.230.220.240.340.290.450.250.570.300.260.380.280.060.320.480.210.530.430.190.140.240.200.320.270.250.330.34-0.09-0.190.230.200.100.570.300.390.260.800.310.090.070.050.050.090.030.020.030.010.100.040.030.010.000.020.050.110.02-0.030.050.08-0.050.170.050.03
1.180.941.131.040.860.840.760.690.740.660.820.980.770.750.630.610.710.661.060.671.871.111.140.780.760.750.780.980.901.161.980.890.840.970.470.800.660.650.520.893.244.363.512.202.802.882.993.323.724.275.116.356.707.168.147.276.428.007.779.355.255.546.4321.2242.22
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4.273.143.743.202.452.352.041.881.881.742.2129.732.232.272.051.942.322.403.522.165.304.143.802.672.8018.582.412.993.052.754.332.282.662.901.422.692.181.941.292.778.517.645.553.254.974.044.734.825.937.158.2910.9511.5413.8512.199.7310.9113.6513.4913.747.1360.4258.59168286
21.0928.6824.0328.1636.7838.2644.1047.9847.9551.7340.803.0340.3639.7143.9246.3838.8637.5425.5741.5816.9821.7223.6833.6732.194.8437.3530.1429.5332.7720.7739.5433.8631.0563.4133.4341.3046.3469.8232.4410.5711.7816.2227.7018.1022.2919.0118.6815.1712.5910.858.227.806.507.389.258.256.596.676.5512.621.491.540.540.31
3.814.794.493.853.444.663.685.233.346.514.894.696.364.380.813.796.432.4410.085.316.062.654.582.864.243.463.114.924.87-1.56-5.252.712.411.423.873.513.552.185.313.193.522.651.681.092.280.71-0.451.530.524.093.321.510.79-0.171.713.625.621.50-1.243.422.54-0.13-0.624.516.18
4.005.034.714.043.634.933.915.583.607.065.325.137.024.870.914.267.302.8111.765.986.833.005.173.234.753.903.525.565.54-1.79-6.043.112.791.654.454.074.132.546.223.784.203.162.021.312.760.86-0.541.840.624.964.041.840.98-0.212.114.527.121.94-1.583.892.71-0.14-0.665.407.24
0.230.290.280.240.210.300.230.320.190.390.260.250.300.220.040.200.350.140.570.300.360.160.270.160.250.210.200.330.32-0.10-0.380.210.170.100.280.240.260.170.420.270.290.300.190.120.260.09-0.050.180.050.450.350.170.09-0.020.190.360.670.19-0.150.570.36-0.02-0.101.061.34
1.822.051.981.891.372.501.792.511.773.832.011.640.860.990.201.101.770.672.841.372.070.731.220.821.111.170.513.472.21-1.25-4.212.061.951.423.513.173.201.964.772.853.132.351.480.962.010.63-0.391.530.524.093.321.510.79-0.171.713.515.421.44-1.153.202.33-0.11-0.483.775.10
38.5936.9935.7533.7732.4931.3929.4728.4926.8125.4123.4222.9822.1621.0820.2720.1719.3218.1217.6015.8515.0014.1713.8413.2612.8412.2811.8811.4711.0010.4710.6711.1510.8510.5710.4610.049.719.429.388.948.668.308.138.007.917.827.767.737.637.587.337.287.046.987.106.956.686.296.136.366.186.026.164.113.90
-12.81-9.8210.696.6019.823.25-0.51-8.50-12.9922.69-5.08-10.9646.68-13.4347.9430.8615.03-2.7145.2028.0927.1015.564.577.61-3.20-4.98-11.12-24.47-15.28-4.4624.67-0.35-1.06-2.80-0.66-0.77-3.49-1.950.890.110.090.603.08-1.421.040.981.051.490.330.69-2.14-1.90-3.470.815.001.833.53-0.072.813.562.143.36-0.761.161.39
-13.39-10.109.315.5819.182.98-1.52-9.20-13.4722.45-6.18-11.7946.14-13.6046.6129.7314.12-3.2244.8127.9626.9915.514.297.37-3.37-5.09-11.41-24.69-15.44-4.5424.29-0.56-1.21-2.88-1.03-1.06-3.68-2.090.68-0.060.040.582.98-1.520.970.950.931.400.260.66-2.34-2.06-3.600.734.761.673.44-0.112.693.492.103.34-0.881.081.34