Financial Ratios for Analysis 2009-2024 | SRCL

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

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
0.940.900.790.790.931.020.841.421.301.201.301.331.191.201.06
0.340.380.400.410.520.510.470.510.530.440.420.450.510.480.52
0.510.620.670.731.141.070.941.051.170.870.810.871.131.021.15
38.1537.9238.4339.3635.5039.4740.8441.7442.0242.8245.0244.8145.3946.3746.90
2.915.682.731.19-6.40-4.62-0.2112.1816.3321.7725.0024.5125.3225.7526.76
2.915.682.731.19-6.40-4.62-0.2112.1816.3321.7725.0024.5125.3225.7526.76
11.0514.2811.199.928.7413.018.5719.2720.6025.8629.1228.4929.2629.5030.16
0.122.920.03-2.09-10.96-7.90-3.019.2113.7619.0822.3021.8122.2123.0623.58
-0.802.07-1.05-2.14-10.48-7.270.655.008.6012.7714.5314.0114.0114.4414.92
0.500.510.480.480.510.540.510.510.420.580.550.540.530.550.54
---------------
4.806.536.307.036.085.815.745.614.865.495.515.945.766.706.55
76.0355.9457.9751.9460.0462.7863.6265.0575.1266.4866.2661.4863.3454.4955.71
-0.842.33-1.12-2.30-14.82-9.461.487.389.7517.1217.7117.3319.3419.4820.58
2.32-4.821.953.8016.7210.85-1.73-7.89-9.39-23.25-26.44-22.97-19.25-23.63-21.87
-0.401.06-0.49-1.00-5.38-3.800.622.983.797.508.057.617.477.978.08
-0.561.45-0.67-1.36-7.07-4.670.783.654.639.5310.279.559.4510.059.98
27.2526.3026.1526.5825.6028.6334.0233.0632.3822.5920.6718.1114.4912.6710.12
2.632.173.305.792.731.905.946.554.485.204.644.493.503.743.20
1.210.742.034.490.590.404.274.963.154.203.803.742.893.192.74

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
1.201.131.110.940.900.850.970.901.020.960.920.790.830.810.800.790.820.901.470.930.941.041.021.021.070.810.810.840.820.871.311.421.441.491.371.302.471.301.241.201.151.161.251.301.281.491.371.330.801.441.281.191.171.391.161.201.161.031.111.061.091.261.21
0.350.350.360.340.340.340.380.380.420.420.410.400.400.390.400.410.450.470.520.520.510.510.510.510.480.470.470.470.480.500.490.510.510.520.520.530.340.440.430.440.450.460.410.420.430.430.420.450.400.480.490.510.520.480.440.480.450.470.500.520.490.490.51
0.540.560.560.510.530.530.620.620.720.720.710.670.680.680.710.730.850.921.151.141.101.101.091.070.970.910.920.940.991.040.991.051.051.101.121.170.550.840.810.870.890.930.770.810.810.800.780.870.870.981.011.131.160.990.851.020.920.971.091.151.051.021.11
37.6539.0038.3439.3937.6037.5138.1437.9538.5638.3236.8137.5836.9440.0039.1341.0942.0038.4036.5134.9435.4535.7835.7938.5539.2440.0040.0638.7541.7041.5941.3240.4642.2442.3541.9341.5441.7042.5942.4142.1041.7242.9644.8244.6045.1645.1745.1745.0644.8644.6744.6245.1345.1545.5045.8239.1848.8949.2349.1140.4049.5549.6648.54
1.394.615.855.693.70-3.585.858.827.335.600.891.25-7.808.278.8514.21-8.774.16-3.87-24.82-4.142.99-0.51-40.577.997.066.04-2.6410.60-20.9512.837.5713.9911.1816.1216.9517.9221.628.0720.5020.8922.6923.2823.7925.3325.3625.6123.8923.8425.1025.2725.8424.8424.8425.7223.8726.4626.9226.0026.1326.7027.5026.78
1.394.615.855.693.70-3.585.858.827.335.600.891.25-7.808.278.8514.21-8.774.16-3.87-24.82-4.142.99-0.51-40.577.997.066.04-2.6410.60-20.9512.837.5713.9911.1816.1216.9517.9221.628.0720.5020.8922.6923.2823.7925.3325.3625.6123.8923.8425.1025.2725.8424.8424.8425.7223.8726.4626.9226.0026.1326.7027.5026.78
---------------------------------------------------------------
-1.761.503.083.111.06-6.532.895.684.802.78-1.69-1.34-10.625.715.9910.99-11.690.77-7.43-28.50-8.11-3.93-4.10-44.114.024.213.25-5.267.57-23.7210.054.0211.548.2113.2314.6515.2619.115.1817.6518.3320.0720.5421.0822.5922.8022.8121.3421.0522.5122.3922.6121.9021.4922.8521.0424.2324.1223.0522.9523.3924.3923.63
-2.130.911.972.290.31-7.391.644.734.061.54-2.14-2.62-10.174.363.917.39-12.76-0.75-2.56-27.42-7.11-3.61-4.55-37.342.053.012.359.384.02-16.215.981.406.914.187.637.969.6612.274.3612.1912.4012.7913.8913.7615.0714.8214.5213.9113.6314.4114.1014.4014.0813.5313.9812.7015.6215.2714.3614.2315.6215.1814.67
0.120.120.120.120.120.130.130.130.130.130.120.120.120.120.120.120.110.110.120.120.120.120.120.130.120.130.130.130.130.130.130.130.130.120.120.130.140.160.150.150.150.140.150.150.140.150.150.140.140.140.140.140.130.140.150.150.150.150.150.140.150.160.16
---------------------------------------------------------------
1.071.011.081.181.401.631.631.621.491.461.451.561.521.671.721.721.651.591.881.471.481.381.381.421.411.401.411.421.411.431.451.431.401.421.401.451.371.371.421.451.461.421.491.461.441.451.501.561.531.591.461.541.481.631.721.831.681.791.741.741.771.771.75
83.9889.3983.4476.4664.1255.1655.1755.6560.4261.7261.9557.5659.0453.8852.3252.2454.4356.5847.9261.2460.8065.3065.1563.2963.9464.1563.7063.2764.0162.7362.0663.0464.5063.3064.1162.2665.6965.9163.3861.8861.5163.4860.5361.6562.3161.8659.9857.5958.9256.5961.6558.6260.6655.3652.2649.1553.6850.2951.6351.6050.7550.8051.55
-0.540.240.520.590.08-1.990.461.321.200.45-0.59-0.68-2.721.181.072.01-3.46-0.18-0.87-9.39-2.38-1.18-1.46-12.290.800.950.763.081.38-5.222.030.672.281.632.752.932.564.451.504.314.424.464.474.454.694.764.634.534.404.924.925.314.934.474.804.705.425.495.335.275.925.745.91
1.79-0.70-1.46-1.61-0.224.89-1.00-2.74-2.22-0.801.041.194.83-2.17-1.85-3.335.100.251.1810.592.721.381.6914.11-1.00-1.15-0.92-3.60-1.485.31-2.26-0.72-2.45-1.65-2.76-2.82-11.23-6.40-2.16-5.86-5.74-5.53-6.76-6.64-6.70-7.01-6.81-6.00-5.79-5.84-5.54-5.28-4.83-5.40-6.84-5.70-7.46-6.87-5.92-5.60-7.02-7.02-6.57
-0.250.110.240.280.04-0.950.210.600.520.19-0.26-0.30-1.200.530.470.88-1.44-0.07-0.31-3.41-0.88-0.44-0.55-4.940.340.400.321.280.56-2.050.840.270.920.651.091.141.351.950.671.891.871.862.062.022.102.172.121.991.932.051.992.051.891.882.141.922.352.342.132.072.412.392.33
-0.350.150.330.390.06-1.310.290.820.700.26-0.35-0.41-1.630.720.641.19-1.92-0.10-0.41-4.48-1.16-0.57-0.71-6.070.420.510.411.620.72-2.621.040.331.130.791.321.391.692.510.862.402.452.422.632.582.682.712.672.502.632.562.532.592.372.312.702.422.962.922.642.552.992.922.88
27.5327.2927.1927.2526.7726.8426.4726.3025.2225.5625.8626.1526.3927.1626.6826.5825.5625.0924.9525.6027.1928.1328.3128.6332.3733.8634.4934.0233.0232.3533.9233.0633.6133.3033.2332.3832.1923.3722.8922.5922.1821.8621.0020.6720.1019.2018.8518.1117.3716.2515.6214.4914.2214.5413.7512.6712.3711.4710.7710.129.339.028.11
0.61-0.11-0.592.632.081.670.532.170.47-0.20-0.423.302.201.630.685.793.992.270.902.732.210.780.401.901.042.691.295.944.582.801.976.554.882.861.834.483.412.071.545.204.012.771.684.643.852.021.124.493.172.171.153.502.461.360.753.742.361.490.943.202.461.450.88
-0.56-0.97-1.051.210.980.990.140.74-0.68-0.96-0.832.031.270.980.414.492.961.450.470.590.44-0.41-0.330.40-0.081.950.954.273.512.061.584.963.722.091.443.152.561.531.294.203.242.261.493.803.221.590.933.742.581.780.952.892.041.090.623.191.941.200.792.742.121.250.78