Stratasys Financial Ratios for Analysis 2009-2024 | SSYS

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

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
3.173.323.804.244.123.893.773.363.173.186.323.503.203.514.52
----0.010.020.020.02-0.010.01----
----0.010.020.030.02-0.030.01----
42.5542.4442.8342.1349.3249.0448.2947.1914.6848.3146.6951.0652.8647.5946.86
-13.95-8.77-13.04-87.55-1.84-1.33-4.57-13.02-65.35-9.58-5.827.9518.6111.435.88
-13.95-8.77-13.04-87.55-1.84-1.33-4.57-13.02-65.35-9.58-5.827.9518.6111.435.88
-6.150.40-3.80-78.046.177.905.400.79-49.775.0113.2717.0125.2419.3613.78
-13.48-2.73-11.01-87.66-1.12-1.24-4.41-12.84-198.83-20.63-6.078.6020.1111.746.25
-19.61-4.45-10.21-85.20-1.71-1.65-5.98-11.48-197.51-15.92-5.563.9413.237.954.16
0.550.520.480.530.460.480.480.490.490.260.170.120.700.660.65
1.871.932.692.291.912.742.993.024.803.142.921.553.233.453.60
3.654.504.694.914.804.805.045.585.654.974.883.336.335.885.14
10081.0977.7774.3376.0776.0372.4565.3664.6273.3874.7511057.7062.1170.99
-13.91-3.02-6.48-58.48-0.96-0.98-3.57-6.77-115.54-4.72-1.080.5611.256.153.18
-18.73-3.75-8.39-75.01-1.62-1.73-6.71-13.43-248.61-19.59-3.953.6915.556.423.38
-10.85-2.30-4.85-44.86-0.80-0.81-2.93-5.63-97.11-4.12-0.970.519.305.252.69
-13.91-3.02-6.48-58.49-0.95-0.96-3.49-6.64-115.54-4.67-1.070.5611.256.153.18
12.7014.3014.5613.4121.2621.2021.1221.5822.8349.7150.8040.978.637.316.36
-0.90-1.130.560.51-0.211.191.171.18-0.420.280.760.061.041.041.26
-1.10-1.340.170.02-0.620.830.740.32-2.06-0.93-0.03-0.440.450.671.15

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
3.073.183.223.172.912.923.293.323.253.923.923.804.624.955.354.244.404.303.914.123.933.853.843.893.953.663.653.773.583.323.233.363.173.063.043.173.42----------3.504.093.223.393.202.722.563.603.513.433.915.104.524.964.634.14
------------0.01------0.01---0.020.020.020.020.020.020.020.020.02-------------------------------
----------0.01-0.020.01-----0.01---0.020.030.030.030.030.020.020.020.02-0.00-----------------------------
44.8043.8344.3644.6240.4941.4543.7843.1043.6240.4542.6343.7342.8843.0441.4246.3638.9137.1845.0549.1149.1649.7549.2349.1248.7149.1449.1848.6648.2749.0647.1247.3046.8846.2248.3430.61-47.6845.4726.68-43.14------46.1656.2252.9551.0552.4753.9552.2252.7849.8148.6149.1140.9549.7948.7846.9541.36
-18.19-18.87-16.983.63-26.40-21.07-11.241.00-9.63-14.13-11.98-9.68-13.78-15.46-13.68-272.96-14.18-24.89-14.97-2.05-3.780.49-2.11-2.152.07-1.13-4.20-3.33-4.41-2.97-7.74-17.20-12.33-10.30-12.11-53.05-142.56-22.04-48.49--22.74-------7.0418.3211.7216.0820.4119.6716.1217.8317.8313.4313.35-3.3113.329.885.88-6.95
-18.19-18.87-16.983.63-26.40-21.07-11.241.00-9.63-14.13-11.98-9.68-13.78-15.46-13.68-272.96-14.18-24.89-14.97-2.05-3.780.49-2.11-2.152.07-1.13-4.20-3.33-4.41-2.97-7.74-17.20-12.33-10.30-12.11-53.05-142.56-22.04-48.49--22.74-------7.0418.3211.7216.0820.4119.6716.1217.8317.8313.4313.35-3.3113.329.885.88-6.95
---------------------------------------------------------------
-17.47-19.39-16.134.17-25.97-20.64-10.732.4514.77-14.83-12.82-1.47-14.18-15.71-13.96-1.58-316.25-24.76-15.60-0.95-3.601.57-1.62-1.732.04-1.18-4.20-2.96-4.61-2.72-7.58-17.13-12.25-9.41-12.44-108.88-557.85-18.76-130.85--26.16-------5.8218.6511.8416.7319.9821.7016.7722.0918.7015.0612.36-3.8612.4110.765.28-4.63
-19.01-18.65-18.04-9.57-29.16-24.17-14.88-1.5011.56-14.64-12.82-2.90-11.37-13.71-14.097.75-316.72-23.79-16.33-1.74-4.410.71-1.463.56-0.42-2.09-8.48-5.56-6.52-3.52-8.49-8.42-13.25-10.75-13.78-135.06-537.82-12.58-125.22--15.39-------5.9510.426.1110.0613.2814.6610.5714.4312.4710.497.76-1.938.916.493.45-3.04
0.130.130.130.140.140.130.120.130.130.140.130.130.130.120.110.140.140.090.100.120.110.120.110.130.120.120.110.130.110.120.120.130.110.120.120.120.10----------0.040.200.210.200.200.190.180.180.190.180.190.150.180.170.170.16
0.400.390.410.450.490.440.420.470.540.650.660.730.760.670.630.580.510.450.420.480.490.550.600.730.700.740.650.800.650.740.740.790.660.740.700.971.76----------0.560.681.031.020.910.840.850.870.970.830.880.810.920.810.710.67
0.910.920.930.910.991.021.031.101.161.261.201.291.311.341.311.341.231.151.151.211.181.241.211.281.251.381.281.351.291.411.421.461.441.521.541.411.28----------1.101.391.481.601.771.681.611.581.721.531.381.171.391.161.010.98
98.7798.1197.0699.0291.0888.0487.0781.7977.8371.4975.1469.7268.9767.3368.9367.0472.9778.2177.9474.4976.4472.5674.4270.2071.9165.2770.1166.5869.5863.7163.4961.8262.5559.2758.5063.9770.19----------81.8164.9261.0056.3450.9053.5455.9756.9552.2858.6765.0976.9564.5277.2788.7292.11
-3.20-3.03-3.00-1.69-5.35-4.18-2.35-0.251.98-2.64-2.22-0.51-1.90-2.10-1.951.41-56.51-2.50-1.91-0.25-0.600.09-0.200.55-0.07-0.32-1.16-0.98-0.86-0.52-1.21-1.24-1.83-1.61-1.97-19.56-63.59-----------0.252.541.562.393.163.332.363.032.832.221.69-0.331.851.260.69-0.58
-4.29-4.06-4.02-2.28-7.25-5.66-2.98-0.312.49-3.36-2.85-0.65-2.28-2.53-2.361.81-62.16-4.26-3.24-0.42-1.030.16-0.350.96-0.12-0.58-2.16-1.84-1.64-1.02-2.39-2.46-3.80-3.39-4.21-42.09-143.76-----------1.633.362.103.254.364.683.393.192.952.331.79-0.351.961.340.74-0.62
-2.46-2.38-2.36-1.32-4.00-3.14-1.80-0.191.48-1.98-1.67-0.38-1.47-1.65-1.561.08-44.56-2.13-1.60-0.21-0.500.08-0.170.45-0.05-0.26-0.95-0.80-0.72-0.43-1.00-1.03-1.53-1.33-1.64-16.44-54.60-----------0.232.121.261.982.612.771.952.602.411.901.48-0.281.561.090.59-0.49
-3.20-3.03-3.00-1.69-5.35-4.18-2.35-0.251.98-2.64-2.22-0.51-1.89-2.10-1.951.41-56.51-2.50-1.91-0.25-0.600.09-0.200.54-0.06-0.31-1.14-0.96-0.85-0.51-1.19-1.22-1.83-1.61-1.97-19.56-63.59-----------0.252.541.562.393.163.332.363.032.832.221.69-0.331.851.260.69-0.58
11.6511.9612.3012.7012.7713.3913.8714.3014.2113.8414.2014.5614.5214.7014.9013.4113.0120.3120.7921.2621.2221.2821.2221.2020.9920.9321.0121.1221.3121.4021.3921.5821.7922.2022.5622.8327.25----------40.979.359.098.908.638.328.017.807.316.916.706.566.366.216.106.04
0.010.070.10-0.90-0.78-0.60-0.27-1.13-0.85-0.58-0.240.560.480.440.390.510.070.030.21-0.21-0.140.020.091.190.840.750.501.170.770.690.491.180.690.730.61-0.42-0.57-0.230.080.00-0.020.000.000.000.000.000.000.060.100.550.321.040.600.320.171.040.700.130.131.260.700.270.15
-0.090.000.07-1.10-0.91-0.70-0.32-1.34-1.03-0.70-0.300.170.230.260.320.02-0.29-0.210.09-0.62-0.44-0.17-0.030.830.560.590.430.740.470.470.370.320.080.330.46-2.06-2.02-1.09-0.21--0.89-------0.44-0.240.260.200.450.160.000.110.670.590.070.091.150.640.210.11