Emeren Group Financial Ratios for Analysis 2009-2024 | SOL

Fifteen years of historical annual and quarterly financial ratios and margins for Emeren Group (SOL).

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
3.975.109.381.550.941.011.170.560.580.640.700.610.840.900.79
0.090.090.060.190.27-0.260.300.260.510.520.320.300.170.32
0.110.120.090.510.710.360.430.446.555.875.052.471.380.891.46
23.6825.0239.4522.7028.7328.9713.728.9814.6513.407.44-3.949.7528.86-8.46
-8.20-4.3015.889.22-0.8116.036.372.922.280.35-14.81-25.521.1720.40-17.74
-8.20-4.3015.889.22-0.8116.036.372.922.280.35-14.81-25.521.1720.40-17.74
-0.796.8324.4119.215.7424.7010.715.949.376.19-7.33-15.799.6625.10-10.64
-2.75-4.299.283.16-8.885.063.420.28-0.34-2.18-17.22-22.83-0.4618.99-22.09
-3.02-7.628.613.78-7.411.8233.46-43.10-0.40-2.15-17.04-25.020.0314.02-14.09
0.220.120.150.220.370.260.310.070.950.940.710.470.510.760.40
--------5.663.793.924.225.775.034.02
1.080.851.573.065.522.032.658.697.809.095.353.3513.657.712.96
33943223211966.1618013841.9846.7740.1468.2110926.7447.34123
-1.49-1.171.481.18-8.494.093.540.14-4.53-24.89-153.19-66.560.0628.82-18.15
-1.49-1.171.481.18-8.494.093.540.14-4.53-24.89-153.19-66.560.0629.08-18.46
-1.14-0.921.250.64-3.651.350.950.01-0.38-2.02-12.10-11.780.0210.60-5.60
-1.37-1.071.380.95-6.224.092.600.10-3.37-12.31-73.95-45.540.0423.87-12.28
6.656.456.683.202.863.272.383.305.516.638.3121.0934.8333.7322.96
-0.42-0.59-0.09-0.201.38-1.340.751.360.11-5.986.51-5.490.0023.14-1.82
-0.61-1.120.19-0.221.34-2.40-2.511.52-0.43-8.65-0.40-13.38-14.92-9.52

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
4.344.273.803.975.405.484.835.106.239.179.129.389.669.807.251.550.990.900.940.940.940.850.811.011.481.671.021.17-0.510.560.560.580.580.580.580.570.580.590.640.670.670.660.700.700.660.660.610.680.750.790.841.001.111.090.900.930.880.770.790.930.981.23
0.090.060.060.090.060.060.060.090.050.050.000.060.000.070.000.190.250.250.060.270.080.080.08-0.360.360.250.26-0.670.430.30--0.010.260.260.260.250.510.530.530.540.520.590.450.420.320.350.320.310.300.320.350.320.170.270.300.300.320.430.410.44
0.100.070.080.100.060.080.080.120.080.070.000.090.000.100.030.510.620.640.320.710.440.830.820.360.620.630.580.43-47.5916.180.447.626.386.436.556.806.576.325.875.875.545.475.055.533.263.272.472.141.791.621.381.301.211.130.891.061.291.421.461.641.661.57
43.7931.2129.6011.2840.7637.4112.3723.3418.8944.9532.4731.7439.1660.9629.8612.1160.5728.386.4326.9124.6177.322.8051.4345.9029.5318.72-4.5217.552.72-88.6617.608.4316.4617.0716.0216.1116.5410.5113.2415.3414.6910.6211.328.758.05-1.282.55-17.980.56-3.80-23.11-4.0518.4128.1730.8732.5430.1817.10-0.613.365.14-47.77
16.659.84-8.31-15.00-28.3814.91-23.32-4.704.24-2.71-63.15-6.3117.4739.3617.932.9229.4917.43-5.38-50.1611.1652.21-16.11-34.7330.4121.2213.09-28.8510.55-13.44-618.073.631.452.554.705.693.103.91-2.73-1.272.292.73-2.101.19-42.99-4.39-11.76-30.04-37.96-14.87-17.88-27.97-18.259.2221.0322.2224.0920.6610.27-11.38-5.52-4.79-54.56
16.659.84-8.31-15.00-28.3814.91-23.32-4.704.24-2.71-63.15-6.3117.4739.3617.932.9229.4917.43-5.38-50.1611.1652.21-16.11-34.7330.4121.2213.09-28.8510.55-13.44-618.073.631.452.554.705.693.103.91-2.73-1.272.292.73-2.101.19-42.99-4.39-11.76-30.04-37.96-14.87-17.88-27.97-18.259.2221.0322.2224.0920.6610.27-11.38-5.52-4.79-54.56
---------------------------------------------------------------
49.156.95-29.66-3.18-62.8522.59-2.73-2.93-1.364.69-55.24-11.698.5240.515.385.2625.2913.97-22.05-53.824.0448.45-42.40-81.4519.061.5212.17-37.3610.93-19.17-1,346.642.42-2.582.382.362.602.38-0.63-5.50-1.50-3.320.30-4.101.08-46.20-7.56-15.53-10.25-42.27-21.94-21.97-26.51-7.031.8415.0222.7121.7918.787.47-12.49-8.19-3.52-58.70
37.661.30-40.58-4.34-67.3224.66-1.51-6.67-4.48-2.49-47.95-6.914.5837.523.4012.0421.6511.79-20.76-41.243.5837.77-41.16-80.377.94-2.4812.16-99.9910.93-20.74-9,764.719.84-2.582.212.202.252.33-0.86-5.17-2.08-3.150.20-3.520.32-47.76-5.58-13.73-29.01-36.03-14.93-19.01-19.55-4.310.7412.0615.8016.7614.205.70-9.47-7.22-4.34-28.07
0.030.070.030.090.030.070.030.050.050.020.010.040.030.030.040.050.030.090.070.080.200.030.030.010.050.070.12-0.25-0.130.00-0.420.020.190.190.220.260.180.210.230.210.210.230.210.190.160.120.150.110.110.100.100.100.130.200.240.230.180.160.140.110.070.09
------------------------60.07----1.600.00-0.141.261.191.291.550.811.160.950.780.850.991.091.121.010.981.441.091.101.241.500.901.251.691.571.481.081.401.310.840.551.06
0.160.380.160.460.180.390.160.350.450.200.070.450.320.450.610.680.390.811.001.231.400.270.260.120.330.470.93-2.19-1.020.00-49.620.131.161.151.802.051.691.632.251.431.561.681.551.101.120.881.061.040.820.752.600.921.281.672.471.771.521.021.040.820.901.39
5532375521965072325572542004581,22220028519914813223111190.1373.2564.4932835277027119396.95-41.12-88.27--1.8167677.3378.4649.8843.8653.2655.3139.9463.0157.7653.6458.2481.6080.6910284.8686.6411012034.6197.7670.4654.0336.4250.9559.2488.2686.2410999.4764.94
1.580.21-1.57-0.96-2.502.03-0.16-0.53-0.130.01-0.46-0.650.241.620.180.481.652.59-3.53-10.511.415.06-4.54-3.482.770.335.6237.49--213.35-7.69-15.73-0.834.925.005.957.79-2.00-14.50-5.96-8.010.48-9.550.84-117.39-6.71-11.92-24.40-17.51-6.68-7.16-6.10-1.290.297.0110.4111.718.062.88-4.30-2.86-0.98-8.53
1.580.21-1.57-0.96-2.502.03-0.16-0.53-0.130.01-0.46-0.650.241.630.180.481.652.59-3.53-10.511.415.06-4.54-3.482.770.335.6237.49--213.35-7.69-15.73-0.834.925.005.957.79-2.00-14.50-5.96-8.010.48-9.550.84-117.39-6.71-11.92-24.40-17.52-6.68-7.24-6.16-1.300.297.0710.5011.848.162.93-4.37-2.93-1.01-8.53
1.210.16-1.18-0.73-1.981.61-0.13-0.41-0.110.01-0.39-0.550.201.360.150.260.841.27-1.58-4.520.551.60-1.33-1.150.950.111.5110.10--2.72-0.29-0.96-0.060.430.430.490.60-0.15-1.11-0.48-0.650.04-0.800.07-8.83-0.88-1.68-4.32-3.85-1.64-1.96-1.88-0.420.102.413.833.882.500.89-1.33-0.80-0.29-2.55
1.430.20-1.48-0.88-2.361.91-0.15-0.48-0.120.01-0.46-0.610.241.510.180.391.241.95-3.32-7.711.304.67-4.17-3.481.770.214.2027.58--69.80-4.42-10.96-0.834.924.934.425.76-1.47-10.88-2.95-3.730.23-4.360.40-47.93-3.69-6.91-16.69-11.31-4.56-4.96-4.28-0.880.194.758.628.575.662.03-2.91-1.63-0.58-4.79
7.016.786.746.65---6.45---6.68---3.20---2.86---3.27---2.38---3.30---5.51---6.63---8.31---21.09---34.83---33.73---22.96---
-0.28-0.18-0.13-0.42-0.55-0.45-0.41-0.590.00-0.12-0.22-0.090.000.01-0.16-0.20-0.04-0.09-0.211.381.22-0.130.00-1.340.000.000.000.750.00-1.93-1.681.360.00-0.67-0.220.111.95-1.01-0.44-5.98-8.03-7.52-5.526.518.313.970.24-5.49-6.91-4.22-5.120.00-2.590.35-0.0923.148.304.681.24-1.57-0.800.330.00
-0.49-0.30-0.18-0.61-0.65-0.52-0.45-1.12--0.12-0.220.19-0.01-0.16-0.22-0.04-0.09-0.211.341.22-0.23--2.40----2.51--3.18-2.151.52--0.62-0.33-0.431.57-1.09-0.52-8.65-10.29-9.57-7.34-0.402.910.61-0.09-13.38-13.63-9.09-7.75--8.17-1.23-0.9814.925.633.360.38-8.20-7.80-4.92-