Suncor Energy Financial Ratios for Analysis 2009-2024 | SU

Fifteen years of historical annual and quarterly financial ratios and margins for Suncor Energy (SU).

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
1.441.131.060.890.940.841.001.361.461.671.391.481.371.231.06
0.200.200.280.280.230.240.230.270.270.230.200.200.210.240.29
0.270.320.420.530.360.390.340.390.390.320.280.280.280.330.41
60.6161.6160.9557.9764.0860.3762.2159.4057.2954.7954.9956.1155.0049.0343.13
23.3624.5017.45-20.438.1212.7818.391.971.4214.6418.6117.3524.9813.507.23
23.3624.5017.45-20.438.1212.7818.391.971.4214.6418.6117.3524.9813.507.23
36.0439.5332.4217.6035.2427.5035.7924.6526.6829.8130.7533.2734.4824.6016.51
20.8721.0614.25-24.346.5012.7818.390.32-6.8311.3415.8212.4416.9912.365.71
16.3515.5310.53-17.247.448.4513.861.61-6.726.679.716.8710.3410.404.61
0.570.690.470.300.440.440.360.300.380.510.510.530.560.490.36
3.734.443.722.913.724.893.513.384.105.284.604.754.455.575.01
7.569.268.396.459.3211.749.367.589.028.177.267.737.695.745.79
48.3039.4043.5256.5939.1831.0838.9948.1640.4544.6750.2547.2347.4863.6263.02
19.1723.0611.25-12.086.907.489.821.00-5.119.7710.5512.4514.577.466.45
20.8725.3712.45-13.327.448.0410.531.07-5.5510.5511.4113.5315.868.237.12
9.3710.734.92-5.103.243.684.980.50-2.575.105.556.397.523.913.16
15.2618.468.14-8.715.285.697.590.73-3.737.518.469.9311.575.664.59
24.8522.6420.2717.5020.6821.4321.3320.2121.16------
6.988.686.301.315.035.014.152.663.735.536.535.726.393.492.13
4.696.024.04-0.582.482.491.87-0.320.271.362.761.273.97-0.03-1.26

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.461.511.441.241.181.111.131.261.141.181.060.981.041.090.890.981.020.810.940.960.980.880.840.930.900.891.000.910.901.511.361.321.171.301.461.601.601.671.671.481.481.451.391.451.331.371.481.371.401.421.371.271.251.231.141.191.211.061.131.061.06
0.200.200.200.190.190.200.200.260.240.270.280.280.290.290.280.300.300.270.230.220.220.220.240.230.230.230.230.210.220.260.270.260.250.280.270.260.240.240.230.200.200.200.200.200.210.200.200.190.200.200.210.210.210.240.240.280.290.290.290.400.39
0.260.270.270.290.340.340.320.430.360.400.420.440.490.490.530.500.520.460.360.330.340.360.390.360.400.390.340.350.360.370.390.410.390.420.390.360.340.350.320.280.270.280.280.270.290.290.280.260.280.270.290.290.300.330.340.390.400.410.410.670.63
57.0661.9460.4159.5458.8863.6163.9356.4662.5163.9160.1558.3060.4465.6860.1059.1658.8254.6762.3161.8063.8868.5358.6360.8857.8964.3366.3161.1255.3564.7667.2959.4850.2457.7249.6559.2759.4257.4358.6053.5653.1561.3645.7460.0556.1761.2956.0160.2956.1362.9251.1044.5453.7752.1846.4749.2748.9652.6045.2234.9938.32
19.8421.0526.1021.3220.0725.5233.403.3433.3228.5022.5619.1611.9714.75-13.04-3.13-25.21-38.78-29.3619.2520.4321.69-13.0221.7119.3219.6120.5120.897.4823.0915.284.41-18.361.36-34.089.6316.249.51-0.3916.102.9926.266.1420.8516.9823.59-4.7120.6313.1323.6217.1115.6725.45-4.7030.4215.3913.303.1513.56-4.923.10
19.8421.0526.1021.3220.0725.5233.403.3433.3228.5022.5619.1611.9714.75-13.04-3.13-25.21-38.78-29.3619.2520.4321.69-13.0221.7119.3219.6120.5120.897.4823.0915.284.41-18.361.36-34.089.6316.249.51-0.3916.102.9926.266.1420.8516.9823.59-4.7120.6313.1323.6217.1115.6725.45-4.7030.4215.3913.303.1513.56-4.923.10
-------------------------------------------------------------
16.7417.7224.0316.8920.0722.1425.44-3.1833.3828.5018.4512.8711.9712.90-7.16-3.67-25.18-56.09-31.7114.8721.0321.35-1.4722.6914.1513.1920.5120.897.4823.099.344.41-17.791.36-42.98-2.8217.91-7.983.0014.385.5821.9810.3122.4312.1218.97-6.3423.7111.6022.8418.3210.3019.713.8219.8911.3216.807.8316.53-4.48-5.35
12.0212.8520.0012.2216.0416.7419.74-4.0424.6621.8413.938.599.559.51-2.87-0.19-14.46-45.45-24.0310.4627.0315.6417.21-9.329.0215.0316.055.9917.246.875.30-12.554.41-30.44-4.988.95-4.620.928.952.0214.174.3516.337.0010.92-5.8916.203.4314.9312.055.8610.4413.8211.835.3310.015.9811.00-1.01-3.31
0.140.140.160.150.140.140.160.180.190.160.130.120.110.100.080.080.050.090.110.110.110.100.100.120.110.100.100.090.080.090.090.080.070.060.080.090.100.090.100.130.130.130.120.130.120.130.130.120.130.130.150.150.150.140.130.130.100.100.110.130.14
1.010.891.040.990.960.850.941.271.050.921.081.040.860.760.740.790.541.290.971.030.980.811.151.131.100.810.891.021.010.810.811.010.990.761.001.010.940.901.311.111.040.821.111.131.201.051.261.151.381.121.491.371.082.031.121.401.231.161.812.682.68
1.761.782.091.641.801.822.081.911.962.192.382.372.012.051.731.831.292.332.302.582.252.132.642.532.212.202.672.142.232.282.262.091.671.441.921.641.611.411.611.871.871.901.701.891.611.801.821.892.031.981.651.931.871.641.801.661.471.671.722.422.67
51.1850.6443.0454.7950.0649.4143.3247.0945.8441.1137.7838.0144.8043.8552.1149.2470.0138.6239.0734.9440.0942.3334.1135.5340.8041.0033.6742.0940.4339.5139.7443.0854.0462.5846.9554.7855.7663.6255.7748.0648.1247.4252.9947.5155.8049.9749.3747.6044.2345.3754.5646.5448.1154.8850.1454.0661.1354.0252.2637.2633.75
3.523.636.493.704.605.146.57-1.6010.057.714.232.422.402.26-0.54-0.03-1.68-9.28-5.512.296.003.32-0.663.962.131.733.042.840.972.971.240.89-1.650.60-4.92-0.911.75-0.850.182.120.513.510.994.101.682.74-1.443.870.843.743.381.612.983.541.690.891.371.252.58-0.32-1.06
3.823.957.064.045.045.647.23-1.7611.038.504.682.672.652.49-0.59-0.04-1.84-10.10-5.942.466.433.57-0.714.242.291.863.263.051.043.181.330.96-1.780.64-5.34-0.991.89-0.920.192.290.553.781.084.431.822.97-1.564.200.924.063.691.763.263.911.860.981.511.382.85-0.32-1.06
1.731.803.171.812.212.423.06-0.724.633.471.851.041.030.99-0.23-0.01-0.73-4.13-2.591.112.921.58-0.321.981.050.861.541.470.501.530.620.44-0.830.30-2.48-0.470.90-0.440.091.120.271.850.522.170.861.40-0.742.000.441.971.770.851.561.850.880.440.680.611.25-0.14-0.46
2.812.905.162.993.734.135.26-1.187.595.663.061.741.701.60-0.39-0.02-1.17-6.81-4.221.784.672.59-0.503.061.651.332.352.240.762.200.910.66-1.240.43-3.59-0.681.33-0.640.141.690.412.810.803.271.332.18-1.153.130.673.002.661.282.352.691.280.640.980.891.83-0.19-0.65
25.4925.5224.8523.9923.3222.4022.6421.6122.6021.2520.2719.7219.7818.9617.5017.8917.2718.5620.6822.2021.8021.1621.4321.7621.6922.0321.3321.8620.0820.6020.2120.2720.7319.78---------------------------
3.761.606.984.592.180.588.686.594.061.696.304.922.401.221.310.920.290.685.033.962.370.745.013.541.500.354.152.981.470.372.661.330.440.023.732.881.500.495.594.342.501.076.604.993.401.685.835.003.361.584.243.001.593.482.381.330.171.640.870.450.29
1.870.854.693.161.630.366.024.652.761.144.043.121.240.80-0.58-0.53-0.660.032.482.241.370.312.491.570.06-0.271.871.350.690.37-0.32-0.89-1.08-0.650.270.570.02-0.231.381.170.490.162.792.361.160.381.291.901.400.663.062.122.28-0.030.03-0.19-0.47-0.97-1.23-0.18-0.87