Superior Industries Financial Ratios for Analysis 2009-2024 | SUP

Fifteen years of historical annual and quarterly financial ratios and margins for Superior Industries (SUP).

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
2.312.021.741.661.852.082.142.963.333.843.866.085.905.414.61
0.790.760.820.800.590.550.54--------
3.773.134.663.961.471.251.16--------
8.3610.158.285.968.4610.899.2911.779.786.748.117.388.1612.40-2.43
-3.715.984.00-16.39-3.655.711.947.454.992.404.384.004.858.31-10.65
-3.715.984.00-16.39-3.655.711.947.454.992.404.384.004.858.31-10.65
3.3412.0711.51-7.114.0412.308.8612.139.737.187.997.218.1912.35-3.30
-8.433.120.81-20.77-6.782.150.087.474.852.114.674.205.107.99-10.33
-9.520.03-2.19-25.05-9.330.48-2.275.653.291.182.893.768.177.18-22.48
1.341.451.310.991.051.030.711.351.351.291.211.371.391.260.77
8.788.257.386.687.467.625.787.8010.639.3110.8010.5811.288.429.01
23.9021.8715.6620.4016.8613.486.637.116.407.028.127.956.596.104.28
15.2716.6923.3017.8921.6527.0855.0451.3257.0152.0244.9445.9455.4259.8385.33
109-152.94-5.421,227-37.366.71-1.3510.395.782.014.726.6214.5912.49-25.22
-71.4625.196.98-499.77-99.1536.17-7.3210.395.782.014.726.6214.5912.49-25.22
-9.013.270.36-21.96-7.351.79-0.397.624.431.523.495.1511.329.02-17.37
-12.004.550.51-31.03-9.362.18-0.4710.395.782.014.726.6214.5912.49-25.22
5.817.354.996.2316.6821.2523.7015.8415.8616.4217.7917.1116.9515.4014.00
2.315.531.735.896.496.212.563.072.230.432.522.412.481.140.84
0.833.46-0.494.153.933.12-0.291.690.81-3.670.051.561.860.790.55

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
1.471.032.232.312.202.271.892.021.711.731.631.741.711.691.661.661.521.672.011.851.831.902.042.082.192.332.152.142.362.802.662.963.703.663.383.333.683.993.943.843.883.393.393.864.886.676.146.085.355.205.715.905.946.075.125.414.844.614.524.614.815.924.90
0.910.810.820.790.800.700.740.760.810.810.790.820.810.780.810.800.810.850.840.590.550.540.560.550.550.540.520.540.520.53---------------------------------
10.836.794.593.773.982.372.823.134.204.213.844.664.213.664.253.964.186.045.791.471.251.191.261.251.231.171.101.161.091.15---------------------------------
8.909.916.694.817.8311.019.0813.636.999.8810.135.685.849.3912.029.8710.08-15.777.698.674.5611.359.269.586.8113.7712.9410.977.218.3611.029.546.2516.1714.9012.129.3810.836.466.184.157.918.539.818.058.166.556.087.757.318.458.336.079.368.9015.1810.7314.348.418.403.79-14.90-17.80
1.473.210.10-6.29-22.046.453.979.013.026.005.901.842.374.477.185.176.07-23.56-60.78-29.81-0.076.825.215.072.218.047.153.821.74-0.832.265.892.9910.6910.066.954.596.002.112.36-1.494.244.206.223.744.603.062.564.673.835.054.992.886.165.3711.236.2010.574.264.09-1.40-25.70-34.58
1.473.210.10-6.29-22.046.453.979.013.026.005.901.842.374.477.185.176.07-23.56-60.78-29.81-0.076.825.215.072.218.047.153.821.74-0.832.265.892.9910.6910.066.954.596.002.112.36-1.494.244.206.223.744.603.062.564.673.835.054.992.886.165.3711.236.2010.574.264.09-1.40-25.70-34.58
---------------------------------------------------------------
-7.42-1.47-5.09-11.37-26.831.54-0.204.900.403.773.390.00-1.720.753.891.362.29-32.43-64.28-33.30-3.244.201.933.52-2.223.323.542.02-0.15-3.841.896.132.8010.5310.226.874.345.842.060.92-1.554.354.396.434.034.963.332.535.103.925.375.532.476.545.8911.806.868.354.055.050.09-26.68-35.68
-11.14-6.73-13.57-4.04-29.77-2.61-3.541.77-2.360.420.29-3.40-5.11-1.941.35-8.780.94-35.32-65.74-34.43-4.07-0.26-1.664.04-2.65-0.130.43-3.46-1.67-4.221.784.133.407.217.774.182.823.552.490.73-1.372.532.633.322.703.182.391.287.762.983.3318.532.047.044.2511.655.665.195.92-2.71-11.44-25.92-69.29
0.400.330.310.300.310.320.320.350.380.400.350.350.280.300.320.300.290.130.230.240.250.240.250.260.230.250.240.230.210.150.310.350.330.340.340.360.320.330.310.320.290.310.280.290.300.330.340.350.320.350.330.370.370.350.320.330.320.350.270.270.210.150.15
2.011.951.982.031.841.821.831.941.941.921.732.021.361.591.911.962.021.121.641.682.071.761.951.951.681.791.841.851.731.281.532.062.262.072.482.772.572.362.172.352.182.752.552.582.602.602.472.742.692.972.682.972.382.372.142.162.643.092.512.792.362.001.67
2.983.844.635.332.873.624.215.362.913.583.084.173.143.844.036.263.882.214.033.812.632.752.613.402.142.121.862.171.821.301.561.831.461.621.641.711.441.771.621.761.601.751.631.981.531.791.752.031.581.631.571.741.591.521.511.621.341.431.451.481.251.301.20
30.1923.4619.4516.9031.3924.8721.3816.7830.9625.1529.2221.6028.6323.4222.3314.3823.2040.6922.3223.6234.2432.7234.4726.4842.0742.3848.3541.5749.3269.3757.5749.2361.8055.6554.9852.5862.3150.8255.5151.2256.3151.4355.2845.4458.9850.2251.3844.3156.9255.3357.4151.8256.6259.3559.5555.5766.9362.7862.0760.7672.0469.3974.80
10.706.3226.792.8596.84-0.2854.28-68.020.44-15.12-20.905.6114.85-8.94-33.93108-41.3383.66746-38.36-1.971.900.522.11-0.171.932.15-1.000.59-1.520.741.951.483.233.511.961.201.510.990.31-0.531.061.001.321.061.321.030.583.121.381.448.731.003.371.915.382.682.662.33-1.05-3.38-5.30-13.91
-93.00-16.64-31.14-1.86-74.50-0.03-2.3311.20-0.4213.6111.49-7.22-11.762.2228.16-43.9331.59-964.25-865.90-101.81-9.117.972.4611.39-0.798.639.00-5.413.19-6.390.741.951.483.233.511.961.201.510.990.31-0.531.061.001.321.061.321.030.583.121.381.448.731.003.371.915.382.682.662.33-1.05-3.38-5.30-13.91
-3.09-1.17-3.26-0.23-8.32-0.01-0.341.45-0.031.000.87-0.37-0.660.151.18-1.931.03-3.98-14.81-7.55-0.470.500.130.56-0.040.530.64-0.290.18-0.460.551.431.122.452.681.510.901.160.770.23-0.400.780.730.980.811.040.800.452.491.061.116.770.752.501.363.891.811.801.62-0.73-2.38-3.84-10.04
-4.68-2.41-4.44-0.31-11.46-0.01-0.482.02-0.051.511.33-0.53-0.950.221.73-2.731.47-5.59-21.29-9.61-0.600.620.170.69-0.050.650.78-0.350.22-0.550.741.951.483.233.511.961.201.510.990.31-0.531.061.001.321.061.321.030.583.121.381.448.731.003.371.915.382.682.662.33-1.05-3.38-5.30-13.91
1.563.104.645.815.439.227.937.355.045.165.854.995.596.535.616.235.774.625.4916.6819.6621.3320.8921.2522.3322.9925.1623.7025.0825.7516.8015.8415.8616.0516.1915.8615.6616.1716.2416.4217.1917.6717.7917.7917.7117.4617.5317.1117.7317.0917.1416.9515.6316.6815.6615.4014.5414.2314.3014.0014.1514.8415.23
-0.27-0.160.122.310.720.401.425.532.762.091.641.73-0.561.230.685.893.60-0.281.246.494.072.771.156.212.571.230.572.560.69-0.41-0.063.071.540.960.632.231.470.94-0.040.430.210.06-0.392.520.750.56-0.462.411.761.270.372.480.780.341.191.140.260.18-0.070.840.511.370.85
-1.00-0.67-0.110.83-0.33-0.380.853.461.060.840.99-0.49-2.130.440.294.152.29-1.170.693.932.181.630.613.120.35-0.29-0.33-0.29-1.59-1.61-0.731.690.360.270.390.810.320.14-0.53-3.67-3.17-1.97-1.320.05-0.82-0.06-0.741.561.320.950.211.860.28-0.011.040.790.060.08-0.110.550.241.160.76