Simpson Manufacturing Financial Ratios for Analysis 2009-2024 | SSD

Fifteen years of historical annual and quarterly financial ratios and margins for Simpson Manufacturing (SSD).

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
3.633.384.083.884.033.964.285.386.216.405.535.217.017.437.42
0.210.28-----------0.010.01
0.290.41-------0.000.000.00-0.010.01
47.1544.4847.9945.4643.3044.5245.3847.6245.2045.4744.4543.0444.8843.9535.12
21.4621.6923.3819.9015.9516.0014.1516.4113.7313.2011.559.4012.2714.125.98
21.4621.6923.3819.9015.9516.0014.1516.4113.7313.2011.559.4012.2714.125.98
24.8424.5726.0822.9619.3320.2717.6019.6517.1116.9815.4513.8515.9219.3711.56
21.5321.1722.7919.6815.6915.9614.7816.1413.6913.2111.569.4413.0614.055.98
15.9915.7816.9414.7511.7911.749.4810.438.558.457.236.398.435.152.32
0.820.851.061.031.041.060.940.880.830.770.740.740.720.640.62
2.122.111.842.442.562.172.111.942.221.891.981.831.852.042.09
7.807.866.817.688.167.397.197.667.498.177.847.927.908.146.81
46.8246.4253.6047.5444.7649.4150.7947.6848.7344.6546.5846.0646.2244.8553.60
21.0723.6322.5019.0615.0214.8010.4710.367.997.366.065.316.715.691.85
43.6060.2026.0322.8518.2318.0712.8912.499.728.997.606.798.076.452.16
13.0913.3417.9515.1712.2312.398.939.167.066.535.334.716.095.121.67
16.5516.9722.5019.0615.0214.8010.4710.367.997.366.065.316.715.631.83
39.6933.2127.4022.6420.1819.0118.9318.2517.6417.6317.2716.3115.7515.7315.47
9.979.293.484.734.583.442.492.052.401.372.191.410.721.562.56
7.39-10.822.493.954.063.220.711.101.620.901.951.11-0.811.181.78

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
3.693.773.633.463.463.703.383.563.335.834.083.873.883.643.884.294.324.624.033.833.903.823.963.953.814.074.284.364.444.745.385.055.535.946.215.935.847.246.405.845.735.985.535.265.336.435.215.594.955.347.016.546.177.557.437.716.837.887.426.937.248.37
0.200.210.210.240.260.270.280.330.340.35-----0.070.140.15----------0.000.00-------------------0.00----0.010.010.010.010.01-0.010.01
0.270.280.290.340.360.380.410.510.540.56-----0.080.170.18---------0.000.000.00--------0.000.000.000.000.000.000.000.000.000.000.010.00----0.010.010.010.010.010.000.010.01
46.6646.0943.9548.7748.1147.3242.1944.1643.7247.9747.3749.9247.8846.6842.0847.5545.9445.7141.9244.4144.0142.5340.6147.1245.6443.9743.4145.3946.9745.5546.1549.1348.4846.3744.7946.4245.3843.9143.6945.6546.1346.2143.5745.9545.6541.9537.7244.0045.7643.7242.0046.4746.9642.9739.8244.8646.3643.6335.8438.2238.9025.74
22.1418.1114.2624.1724.2722.1516.5522.1822.4325.2123.1925.3624.7919.6713.4325.0722.1517.4013.9519.6717.6011.587.7921.0019.9513.3510.2817.7917.1610.2913.9219.8217.8013.3512.1716.3116.169.229.1915.3915.4611.657.4415.7915.195.84-0.6512.7814.948.514.3515.3217.559.27-1.5519.9720.4913.801.8413.4412.96-8.66
22.1418.1114.2624.1724.2722.1516.5522.1822.4325.2123.1925.3624.7919.6713.4325.0722.1517.4013.9519.6717.6011.587.7921.0019.9513.3510.2817.7917.1610.2913.9219.8217.8013.3512.1716.3116.169.229.1915.3915.4611.657.4415.7915.195.84-0.6512.7814.948.514.3515.3217.559.27-1.5519.9720.4913.801.8413.4412.96-8.66
--------------------------------------------------------------
22.2318.5514.8324.1524.2121.9716.4221.3421.5525.1222.2425.1524.1519.1613.5624.9322.1016.5013.7519.1017.6511.297.4621.4119.6613.3510.3217.0617.0814.0112.9719.7817.7613.2312.1316.2316.139.209.2015.3815.4511.707.4715.7815.195.87-0.6312.8114.978.554.4118.1317.579.31-1.6419.9520.4313.701.9213.4712.93-8.74
16.3914.2210.9217.9317.9416.4612.1115.9415.7719.1616.6818.6017.6714.4910.0818.4116.4012.9810.6914.1012.988.745.2715.6114.3110.395.6510.7410.7310.528.6912.9011.398.197.979.999.935.696.239.859.847.184.7910.239.473.114.097.548.734.543.7911.9410.965.34-3.7611.734.057.43-2.688.507.02-7.05
0.220.190.190.210.220.210.190.220.240.220.280.280.300.270.240.290.250.240.240.290.280.250.240.260.280.240.220.250.250.220.200.230.230.210.190.230.220.190.170.210.210.180.170.210.220.180.160.200.210.180.160.190.210.150.140.170.200.150.120.180.180.15
0.600.510.510.590.590.490.490.570.620.580.500.520.690.620.600.730.660.600.610.710.640.550.520.540.650.530.520.590.530.470.460.530.540.510.520.580.560.480.430.570.510.420.460.560.540.440.440.560.530.490.420.500.570.450.470.540.590.390.410.520.490.39
1.581.551.771.651.541.571.771.661.581.541.811.681.641.531.781.611.391.681.881.711.591.501.661.471.461.461.701.641.531.481.781.631.591.481.741.631.541.501.811.641.511.471.781.651.541.501.741.591.511.481.711.661.511.461.751.561.591.331.361.391.281.50
56.9258.2550.9454.4858.4257.2050.9354.3756.9158.4349.6853.6654.8358.8250.5755.9464.5553.5447.7852.5356.4760.1154.3561.1261.7161.4652.8254.7258.9760.7950.5455.2256.7160.9551.6455.2758.5559.8249.7054.8259.6561.0550.6154.7058.4659.9851.8756.7059.5060.8152.6154.3459.7161.8551.3657.5456.6767.6266.3164.7770.1659.88
5.544.373.266.236.775.914.086.607.287.685.906.576.674.973.026.985.984.383.154.984.562.711.494.864.882.891.483.083.142.612.013.462.971.891.732.562.471.181.202.392.361.430.912.432.330.610.751.652.050.930.652.542.550.89-0.572.362.791.29-0.121.581.50-1.15
10.708.576.7512.5414.9114.1710.3816.3721.538.816.827.637.805.893.628.327.235.363.826.035.553.331.825.905.953.571.823.773.863.212.424.203.582.302.113.123.011.431.472.932.931.781.143.082.980.780.952.102.631.210.782.882.911.01-0.652.713.201.50-0.141.861.76-1.32
3.532.772.033.693.943.442.303.523.764.154.705.195.283.892.405.254.163.072.564.023.702.201.254.054.062.441.262.642.712.271.773.032.621.691.532.252.161.061.072.102.081.270.802.142.060.550.661.481.800.830.592.272.250.80-0.512.142.501.18-0.111.421.35-1.05
4.423.462.564.715.044.322.934.424.804.975.906.576.674.973.026.475.123.713.154.984.562.711.494.864.882.891.483.083.132.602.013.462.971.891.732.562.471.181.202.392.361.430.912.432.330.610.751.652.050.930.652.542.550.89-0.572.342.761.27-0.121.581.48-1.14
41.8640.6639.6939.1237.1134.8633.2131.4029.9428.5427.4025.9925.0223.3622.6422.1020.5719.3620.1819.7819.4418.7119.0119.8719.5118.9818.9319.3619.0318.6118.2518.1118.2318.1417.6417.4917.7417.3317.6317.6517.6717.3217.2717.0016.4416.2416.3116.2716.0015.9615.7515.8315.8315.9115.7315.7615.2415.4315.4715.6215.2914.91
2.810.199.979.294.610.079.296.143.201.033.482.811.870.414.732.970.980.294.583.331.190.213.442.321.190.362.491.770.16-0.162.051.380.45-0.202.401.470.50-0.211.371.00-0.19-0.592.191.480.39-0.391.411.170.350.010.720.50-0.07-0.451.560.800.11-0.392.561.800.780.01
0.97-0.747.397.963.73-0.37-10.825.21-16.130.652.492.091.430.173.952.470.670.154.062.760.83-0.033.221.860.820.160.710.84-1.01-0.991.100.680.11-0.351.621.070.21-0.350.900.66-0.37-0.671.951.140.12-0.591.11-0.18-0.86-1.07-0.810.08-0.29-0.611.180.60-0.32-0.801.781.080.60-0.11