SpartanNash Financial Ratios for Analysis 2009-2024 | SPTN

Fifteen years of historical annual and quarterly financial ratios and margins for SpartanNash (SPTN).

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
20232022202120202019201820172016201520142013201320122012201120102009
1.631.511.461.471.762.102.031.771.812.001.761.07-1.131.291.091.13
0.430.390.340.400.500.490.510.330.370.420.460.30-0.290.360.400.44
0.770.660.520.661.000.981.040.520.620.760.860.45-0.430.570.680.80
15.2715.5315.7215.2414.5713.7714.3814.7014.5814.6018.7520.9220.4921.1121.9721.8920.81
1.100.711.261.100.670.87-1.341.441.611.450.652.342.092.522.682.302.82
1.100.711.261.100.670.87-1.341.441.611.450.652.342.092.522.682.302.82
2.111.692.292.061.701.90-0.282.492.722.572.083.833.553.924.083.673.94
0.720.491.100.910.040.50-1.651.191.311.140.081.661.501.962.091.662.29
0.540.360.830.810.070.42-0.660.750.820.740.031.050.981.211.281.001.43
4.134.184.054.103.754.093.873.923.994.101.313.30-3.453.373.393.56
14.3314.2614.4114.6213.5712.5611.4211.9512.5411.713.5816.55-20.8319.0416.9617.93
23.0623.8724.6926.1424.7223.2923.1525.9324.1228.009.1042.77-44.9244.9646.8050.06
15.8315.2914.7813.9614.7715.6715.7714.0815.1313.0340.118.53-8.128.127.807.29
6.714.519.4210.330.864.72-7.296.917.997.910.178.29-9.8510.659.4714.17
10.567.2315.0217.341.578.27-12.8712.8913.5013.140.3031.35-38.2150.6499.78-1,669.82
2.221.503.343.330.261.71-2.562.963.293.060.063.53-4.174.333.444.84
3.822.736.246.240.432.42-3.604.605.024.560.095.78-6.976.835.707.94
22.4821.8421.7820.5018.9119.9119.8021.9921.0319.9118.9215.43-14.5713.5112.2011.13
2.563.044.488.555.104.871.444.266.033.752.732.721.254.103.964.083.64
-0.761.373.096.933.513.04-0.382.434.451.621.220.90-0.192.272.501.841.08

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
1.621.621.751.631.591.621.691.511.631.591.561.461.431.531.651.471.581.561.541.761.721.761.902.101.992.062.122.031.811.871.931.771.791.931.991.811.801.761.862.001.771.801.841.761.101.111.071.201.231.21-1.141.381.31-1.211.141.11-1.171.141.16-
0.450.430.440.430.410.420.430.390.400.370.360.340.340.370.410.400.430.440.460.500.500.500.520.490.490.490.510.510.480.430.440.330.370.370.390.370.400.400.410.420.420.440.450.460.280.300.300.340.320.33-0.280.350.35-0.370.370.39-0.430.420.43-
0.810.770.790.770.700.720.750.660.670.610.570.520.530.600.700.660.760.790.871.001.011.021.110.980.950.981.041.040.950.780.800.520.610.610.650.620.700.700.710.760.750.800.840.860.410.450.450.520.470.51-0.550.550.56-0.590.600.65-0.760.730.77-
15.7615.8215.6915.1015.3515.2415.3614.7915.2915.5816.3015.4215.8915.8415.7315.0515.7615.4914.8314.3514.5214.4814.8612.9413.5814.0114.3913.5114.0114.6015.1815.6714.1814.3714.6714.6114.5914.5914.5414.3814.4514.6514.889.5720.7120.4922.0120.3820.9520.16-20.4421.4220.80-21.0722.4621.95-21.0322.2921.98-
1.111.171.091.051.021.550.840.380.840.541.021.591.101.231.140.771.411.560.770.580.790.370.87-0.631.421.571.081.00-10.382.091.261.511.661.780.951.871.652.051.031.071.861.801.18-5.941.962.332.70100.003.051.94-100.003.222.32-100.003.672.31-100.003.452.53-
1.111.171.091.051.021.550.840.380.840.541.021.591.101.231.140.771.411.560.770.580.790.370.87-0.631.421.571.081.00-10.382.091.261.511.661.780.951.871.652.051.031.071.861.801.18-5.941.962.332.70-3.051.94--3.222.32--3.672.31--3.452.53-
---------------------------------------------------------------
0.680.720.650.650.641.170.470.070.610.320.871.450.951.080.970.621.241.390.540.26-0.10-0.490.40-1.031.061.220.720.66-10.701.800.951.211.421.550.701.521.371.780.740.771.561.500.86-6.651.611.991.870.642.661.42-0.972.681.80-1.523.091.73-1.082.841.92-
0.490.520.460.460.490.840.390.030.410.220.701.100.730.780.720.570.971.270.540.27-0.02-0.340.29-0.740.930.940.521.84-6.611.130.640.780.920.960.430.950.871.130.450.600.940.960.53-4.191.041.231.110.431.660.99-0.621.651.00-0.931.871.04-0.641.711.15-
0.910.941.200.950.970.991.271.000.980.981.220.950.920.951.170.990.890.951.230.880.860.871.080.960.920.941.180.920.920.841.080.860.900.951.190.920.900.931.211.020.910.911.180.270.790.820.990.990.790.77-1.010.780.77-1.020.780.76-1.030.800.80-
3.403.564.263.313.313.404.353.453.123.244.163.393.173.293.723.522.963.344.713.192.872.983.632.982.752.903.542.732.682.853.702.582.752.923.652.902.642.783.512.912.532.743.560.823.533.834.884.703.613.64-5.254.013.60-4.593.633.53-4.583.313.50-
4.595.236.655.325.305.437.075.725.345.536.995.795.575.687.676.285.325.83-5.795.345.506.755.485.185.347.225.485.045.316.875.685.595.967.485.575.556.037.406.945.925.417.501.8810.6410.8412.8015.7110.419.86-14.0410.329.68-15.9810.9810.76-15.1311.3711.16-
19.6017.2213.5416.9116.9816.5912.7215.7516.8616.2912.8815.5516.1515.8411.7414.3216.9115.43-15.5616.8416.3513.3416.4317.3616.8512.4616.4217.8516.9413.0915.8616.1015.0912.0416.1516.2214.9412.1612.9615.1916.6312.0047.948.468.317.035.738.659.13-6.418.729.29-5.638.208.36-5.957.928.07-
1.401.481.651.321.432.531.490.081.210.642.432.841.982.222.601.652.764.012.250.80-0.05-0.981.08-1.962.382.461.754.81-17.492.481.791.552.052.181.262.171.962.651.381.612.312.371.74-3.171.922.382.661.053.171.91-1.533.201.97-2.523.922.18-1.953.972.69-
2.232.382.582.082.264.042.400.141.931.023.824.533.213.644.292.764.717.104.101.46-0.08-1.792.03-3.434.104.303.108.49-31.505.984.402.893.393.652.123.673.414.682.272.683.844.143.05-5.496.598.7710.034.2111.937.84-5.7812.728.78-15.1427.2819.95-28.5670.55131-
0.440.490.550.440.480.840.490.030.400.220.851.010.680.760.860.530.861.240.670.24-0.01-0.300.32-0.710.850.890.621.69-6.070.960.690.660.840.910.520.900.781.050.550.620.860.870.63-1.130.831.021.130.441.320.77-0.631.290.78-0.981.470.80-0.691.370.92-
0.780.840.930.750.851.480.860.050.730.401.561.881.301.401.530.991.582.261.210.40-0.02-0.490.52-1.011.231.250.862.37-9.091.411.001.031.301.370.771.361.171.580.820.931.331.330.95-1.721.371.661.850.702.171.28-1.092.081.27-1.602.471.34-1.122.311.53-
23.1523.0022.8622.4822.4522.2021.7421.8422.0722.1022.0121.7821.3021.0420.6920.5020.1719.7919.2218.9118.9618.9319.1019.9120.4920.1619.8219.8019.0922.6222.2321.9921.7621.4521.1021.0320.7120.4120.0419.9119.7819.4319.0418.9215.8915.4615.4315.1415.0214.58-14.3014.0613.62-13.1012.7912.30-12.0211.7811.35-
3.613.891.052.562.771.43-0.083.040.210.780.274.484.092.09-0.918.556.425.693.675.103.952.930.384.874.062.971.701.441.951.03-0.284.262.201.550.276.033.513.331.323.753.161.720.882.732.562.161.621.250.04-0.870.002.221.850.300.002.752.000.510.002.411.820.740.00
0.801.97-0.06-0.760.39-0.21-1.171.37-0.83-0.37-0.483.093.361.76-0.806.935.375.043.263.513.092.490.383.042.752.161.11-0.380.550.11-0.792.430.800.58-0.094.452.522.771.241.621.750.800.311.221.251.281.18-0.19-0.81-1.17-0.820.94-0.13-1.631.350.23-0.750.810.27-