Sensata Technologies Holding Financial Ratios for Analysis 2009-2024 | ST

Fifteen years of historical annual and quarterly financial ratios and margins for Sensata Technologies Holding (ST).

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
2.552.353.681.993.103.002.942.301.481.652.693.212.123.392.02
0.530.560.580.550.560.550.580.630.660.670.600.600.640.650.86
1.131.361.371.481.261.251.391.692.162.181.511.491.761.885.94
31.1132.6933.4630.4234.2935.6335.3234.9233.5234.9636.5834.2936.1338.4434.62
4.4816.6316.5711.0916.1420.1716.8115.3813.2315.4218.3514.5016.1014.865.15
4.4816.6316.5711.0916.1420.1716.8115.3813.2315.4218.3514.5016.1014.865.15
20.1623.7823.5319.6923.8627.3525.2025.2323.0124.6827.9225.1926.7527.3125.46
0.449.8510.835.4411.3114.9512.1710.046.9110.5211.819.024.1211.031.50
-0.107.719.525.398.1917.0112.358.2011.6911.779.509.270.358.44-2.44
0.530.460.440.390.500.520.500.510.470.470.570.520.530.450.36
3.914.214.324.704.484.604.795.355.514.406.857.145.916.735.92
5.455.435.855.286.196.055.946.406.365.426.797.426.997.776.28
67.0067.2562.4269.1159.0160.3061.4357.0157.3767.3853.7649.2252.2346.9858.16
-0.139.9911.756.0710.9822.9617.4113.5120.8421.7816.4814.520.6212.90-7.05
0.27-17.26-26.85-14.97-21.90-43.72-25.85-12.27-13.30-13.96-16.84-15.63-0.45-10.451.36
-0.053.554.222.094.148.816.154.215.525.555.384.860.193.84-0.86
-0.064.384.962.764.8610.227.295.057.007.106.585.850.234.51-1.02
19.8820.4119.6117.1616.3115.8913.6911.369.797.706.646.875.925.812.69
3.002.953.483.543.833.653.243.043.112.222.212.191.691.731.30
1.791.992.572.872.832.712.402.282.101.421.761.921.201.431.20

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
1.772.642.552.862.812.382.352.983.523.683.683.983.804.021.994.332.463.173.103.143.132.963.003.103.383.032.942.762.642.482.302.081.781.521.481.861.721.601.651.652.162.492.692.532.341.903.213.032.622.262.121.732.642.813.393.042.821.802.02---
0.510.530.530.540.540.540.560.580.580.580.580.580.590.590.550.610.570.560.560.560.550.560.550.580.560.570.580.600.610.620.630.640.650.660.660.640.650.660.670.580.610.590.600.560.580.570.600.610.620.630.640.640.650.660.650.670.650.690.86---
1.291.141.131.181.181.251.361.381.401.381.371.411.461.431.481.551.471.281.261.251.251.271.251.381.291.331.391.501.561.621.691.791.922.082.161.841.962.032.181.531.541.421.511.311.391.501.491.561.631.681.761.851.871.921.882.081.912.465.94---
30.0431.5329.2431.2931.0732.8333.5931.7932.7232.6633.6733.8733.6832.5932.7132.7428.4626.8534.2834.6934.9133.2835.8936.0836.2634.2835.9135.6335.6434.0535.3935.5635.0633.6734.3934.4732.7832.5133.3935.5536.0235.2437.4738.0536.2834.3833.2034.6035.3733.8934.1535.4337.4237.5939.1437.7438.5938.2834.6636.8833.8632.50
12.5514.38-20.3011.6111.1114.9115.0224.8413.6112.9116.0216.9616.6016.7117.0116.09-0.327.5714.2617.2016.6816.3819.1525.4519.4816.6618.3117.1316.6715.0716.2215.5515.4814.2612.5514.6912.0913.6410.8215.9618.0617.9819.4020.0617.8915.909.3515.1017.1215.8913.1616.3217.1817.7618.1616.4618.046.5512.9310.654.63-12.25
12.5514.38-20.3011.6111.1114.9115.0224.8413.6112.9116.0216.9616.6016.7117.0116.09-0.327.5714.2617.2016.6816.3819.1525.4519.4816.6618.3117.1316.6715.0716.2215.5515.4814.2612.5514.6912.0913.6410.8215.9618.0617.9819.4020.0617.8915.909.3515.1017.1215.8913.1616.3217.1817.7618.1616.4618.046.5512.9310.654.63-12.25
--------------------------------------------------------------
9.569.79-24.388.066.5011.0312.3318.335.383.0812.0411.2312.147.8511.9011.66-7.130.899.5211.6511.8012.2414.0819.8814.0811.8013.7412.5611.6810.669.8010.2410.459.646.049.126.436.114.5810.3914.6913.8712.8017.296.8810.251.5812.1510.0811.677.1710.14-4.543.4618.67-10.0224.8410.216.81-12.3613.17-0.96
6.927.55-20.386.274.628.6611.1513.773.412.3011.988.9311.385.7013.429.73-7.381.096.328.328.319.7729.9717.0711.5210.2120.1210.759.468.898.448.847.927.6130.057.315.314.719.8614.2011.1012.4013.2813.234.027.3715.938.805.187.915.385.53-7.61-2.1417.69-12.6221.067.244.18-17.868.86-4.27
0.130.130.130.120.130.120.120.120.120.110.110.110.120.120.120.100.080.110.120.120.130.130.120.130.130.130.130.130.130.130.130.130.130.130.120.140.150.150.140.150.160.150.140.140.150.130.120.130.140.140.130.140.140.130.110.110.120.110.11---
1.020.960.981.011.111.021.041.031.051.021.051.141.311.361.351.210.841.101.101.101.171.201.101.141.261.271.211.181.311.311.311.361.551.531.331.401.561.461.321.361.631.791.721.701.861.791.691.661.671.621.511.461.631.781.671.681.701.751.76---
1.281.321.331.311.381.311.371.411.371.411.431.441.431.471.571.391.301.441.521.421.391.381.461.421.511.411.511.441.481.511.581.481.551.521.551.511.541.541.591.521.631.561.731.641.631.641.731.591.661.691.731.661.681.651.961.891.831.811.87---
70.3567.9567.4868.9365.4568.5065.8563.9065.5363.9762.9262.7262.9561.2257.2564.5369.2762.3559.3063.2164.7265.4561.7563.3259.5763.7559.5962.6260.6159.4457.1060.6958.2459.4057.9359.6158.3058.5556.7759.0755.1157.6051.9954.8055.1254.9852.1656.5354.1153.1551.9054.2153.5954.6046.0047.5249.1249.7248.14---
2.382.56-6.751.951.532.713.644.571.150.733.622.823.881.934.502.98-1.710.332.082.722.813.329.746.334.173.697.214.033.803.553.433.763.663.5313.083.672.912.595.346.705.735.655.875.311.732.855.803.552.323.572.332.59-3.52-0.946.81-5.268.573.133.65---
-5.36-5.3814.14-4.02-3.04-5.18-6.29-7.45-2.46-1.61-8.27-7.38-8.77-5.32-11.09-6.103.26-0.65-4.15-5.47-5.70-6.18-18.55-10.50-8.19-6.28-10.70-4.94-4.16-3.55-3.11-3.07-2.74-2.41-8.35-3.02-2.21-1.84-3.42-6.53-5.38-6.44-6.01-6.39-1.80-3.10-6.25-3.42-2.02-2.86-1.69-1.752.680.73-5.513.54-6.06-1.83-0.70---
0.881.00-2.630.750.591.011.291.610.400.261.301.001.340.681.551.02-0.600.120.781.031.071.253.742.241.551.332.551.351.241.131.071.121.040.953.471.030.800.691.362.111.801.881.921.860.590.951.941.140.731.100.710.75-1.03-0.272.03-1.452.500.780.45---
1.161.19-3.160.890.701.241.591.920.480.311.531.171.580.792.051.17-0.740.150.921.211.251.464.342.661.821.593.021.621.491.361.281.361.291.214.391.311.020.891.742.792.262.342.352.310.731.222.341.390.891.340.850.92-1.23-0.332.38-1.722.960.990.53---
19.9519.7719.8821.2821.0620.9420.4120.0119.4219.5719.6118.9918.4017.6717.1616.3715.8616.1716.3116.3416.2215.8915.8914.3514.8014.3013.6912.7412.2311.8111.3610.8510.4710.079.798.508.268.057.707.256.627.036.647.056.706.896.876.576.336.165.925.755.605.785.815.375.635.112.69---
1.650.713.002.311.390.632.951.520.900.303.482.471.680.663.541.861.080.623.832.691.550.693.652.491.470.713.242.161.360.703.042.311.440.803.112.121.240.602.221.641.260.612.211.731.010.472.191.571.040.631.691.220.690.471.731.180.500.231.300.890.590.44
1.080.431.791.410.840.391.990.810.430.072.571.841.280.492.871.350.720.442.831.921.050.432.711.831.090.532.401.611.010.522.281.761.070.602.101.360.730.381.421.080.900.451.761.420.820.391.921.390.920.551.200.880.470.351.430.980.400.191.200.810.530.41