Servotronics Financial Ratios for Analysis 2009-2025 | SVT

Fifteen years of historical annual and quarterly financial ratios and margins for Servotronics (SVT).

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
2024202320222021202020192018201720162015201420132012201120102009
4.053.735.369.025.594.204.855.104.965.652.743.957.536.866.866.16
---0.120.180.130.070.090.100.120.160.000.100.120.140.16
0.090.090.010.140.290.180.100.130.130.160.220.110.120.150.180.22
18.4017.8915.8314.7616.5321.9425.2524.1225.9824.7422.5024.7826.5330.4727.6724.36
-2.25-4.84-7.10-13.130.495.879.075.196.5618.262.814.077.9714.279.777.66
-2.25-4.84-7.10-13.130.495.879.075.196.5618.262.814.077.9714.279.777.66
-0.04-2.36-4.40-9.763.388.1611.217.338.6920.224.876.1810.1416.3511.879.37
-3.35-5.61-7.579.890.125.648.855.016.4018.32-14.984.077.8514.589.637.59
-3.61-24.72-6.0210.000.204.437.313.184.5412.52-9.883.221.057.986.725.77
1.291.190.780.810.991.121.151.091.081.070.901.011.041.081.111.19
2.322.522.071.721.782.142.362.462.152.212.041.912.001.972.082.17
4.843.624.165.636.534.194.524.925.195.375.266.076.285.465.838.08
75.4810187.6964.7855.9287.0680.7474.1970.3767.9569.4660.0958.1266.9162.5745.18
-6.43-14.48-5.9811.470.307.3011.104.686.4618.07-14.974.117.0815.749.999.60
-6.43-14.48-5.9811.470.307.3011.104.686.4618.07-14.974.117.0815.749.999.60
-4.34-9.69-4.648.090.204.958.393.474.9213.37-8.873.255.6212.037.476.89
-6.43-14.48-5.9810.110.246.3210.314.235.8315.87-12.534.106.3513.848.598.03
9.269.7414.1414.5213.9613.9713.1712.2011.7411.159.1610.3810.7811.2110.7510.10
0.50-1.53-0.141.900.34-0.260.351.591.060.540.470.700.791.230.920.46
0.09-1.81-0.651.790.04-1.21-0.440.640.630.04-0.920.010.380.950.680.24

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
2025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312009-12-312009-09-302009-06-302009-03-31
3.474.053.534.013.823.733.142.784.095.365.405.997.009.025.294.245.365.595.715.474.444.204.383.964.184.854.644.324.725.104.055.075.344.965.144.594.555.654.524.764.652.742.013.643.583.956.226.007.327.537.016.566.896.86---6.165.354.924.47
----------0.010.010.120.120.110.120.180.180.210.210.140.130.090.070.070.070.080.090.090.090.090.090.090.100.100.110.120.120.130.140.140.160.000.000.000.000.100.100.100.100.110.120.120.12---0.160.160.160.17
0.160.090.130.060.080.090.090.150.030.010.020.020.140.140.150.280.290.290.290.280.190.180.130.110.090.100.110.120.130.130.110.120.120.130.140.140.160.160.170.180.190.220.180.110.110.110.120.120.120.120.130.140.150.15---0.220.210.220.23
20.1712.2918.2524.9616.6122.3821.5814.6210.915.5713.9111.7326.4812.8016.2318.6710.966.35-1.6022.3630.5019.2928.6023.2417.2725.2130.8624.4819.4126.8327.2918.5722.6422.3025.5930.7624.9423.5329.0025.0620.7417.5923.7326.8322.2021.4527.6027.2022.4125.9926.3431.5222.4135.0831.9230.0624.9719.2331.4627.3318.56
2.07-11.37-2.265.43-2.714.182.42-16.08-13.21-21.43-7.83-10.084.08-11.08-26.01-3.36-10.82-11.45-21.969.4215.824.7611.336.361.229.0814.617.634.008.458.881.710.211.395.9814.004.344.8811.798.9552.22-0.506.157.89-2.76-1.946.158.732.635.587.5013.785.0020.1116.9012.937.270.1115.3611.812.40
2.07-11.37-2.265.43-2.714.182.42-16.08-13.21-21.43-7.83-10.084.08-11.08-26.01-3.36-10.82-11.45-21.969.4215.824.7611.336.361.229.0814.617.634.008.458.881.710.211.395.9814.004.344.8811.798.9552.22-0.506.157.89-2.76-1.946.158.732.635.587.5013.785.0020.1116.9012.937.270.1115.3611.812.40
-------------------------------------------------------------
1.24-12.84-3.644.63-3.503.361.57-16.91-13.73-21.41-8.40-10.933.69-12.5228.7115.077.60-11.88-22.379.0515.554.5411.086.140.998.8714.407.403.768.268.721.55-0.041.115.8813.934.124.8011.6210.1851.38-2.75-61.427.90-2.88-2.126.598.592.515.367.3813.654.9619.8818.5112.797.210.0615.1811.722.47
1.09-13.31-3.994.53-3.673.76-1.76-89.21-17.08-20.42-3.58-9.262.91-8.6229.6711.835.97-9.26-17.317.1512.292.999.165.080.827.9711.415.923.134.525.921.090.291.273.879.752.884.807.666.7233.91-1.47-41.105.59-2.07-0.894.636.252.411.68-1.923.630.787.4210.578.795.052.8910.137.801.66
0.320.280.330.340.290.340.310.270.200.140.190.190.220.210.200.190.180.210.190.240.300.340.270.320.280.300.310.300.270.300.310.280.260.280.260.280.250.280.280.270.240.240.240.260.230.240.250.270.250.250.250.250.260.26---0.290.300.340.28
0.600.540.660.580.580.670.600.600.400.430.400.410.410.460.440.380.360.420.420.420.460.670.440.640.630.620.600.660.650.650.630.600.530.580.510.530.500.590.540.570.540.590.480.460.430.470.470.510.520.480.490.450.530.44---0.570.470.580.54
1.031.050.991.151.001.020.940.960.840.760.770.861.201.471.191.130.981.391.521.321.191.281.131.281.101.191.181.201.161.351.241.321.321.331.291.321.301.401.461.481.261.431.401.431.351.441.421.381.321.481.401.251.421.31---1.991.831.651.67
87.3885.5891.2278.5190.2388.0195.5694.1610711811610474.9861.3875.6979.8692.2964.8659.1668.3775.9470.4679.7170.1881.5375.7175.9975.0477.8266.5172.3268.3068.2967.7769.8668.3069.0764.0661.6260.6371.2162.8064.3162.7766.8062.6063.3464.9968.3960.6664.3371.8563.2768.47---45.1849.2254.6953.99
0.61-5.37-1.862.28-1.512.170.76-13.57-2.92-2.99-1.69-2.250.91-2.578.363.341.58-2.91-5.132.655.361.503.422.240.313.184.812.461.171.832.440.390.100.461.363.801.021.813.002.5911.73-0.61-15.861.86-0.62-0.271.512.140.761.381.313.161.186.04---1.194.283.820.69
0.61-5.37-1.862.28-1.512.170.76-13.57-2.92-2.99-1.69-2.250.91-2.578.363.341.58-2.91-5.132.655.361.503.422.240.313.184.812.461.171.832.440.390.100.461.363.801.021.813.002.5911.73-0.61-15.861.86-0.62-0.271.512.140.761.381.313.161.186.04---1.194.283.820.69
0.40-3.62-1.201.56-1.021.450.48-8.23-2.14-2.32-1.24-1.680.63-1.825.972.261.05-1.95-3.321.723.641.022.481.620.232.413.571.780.861.361.830.300.070.351.012.760.731.342.141.848.24-0.36-9.701.45-0.48-0.211.171.660.601.101.012.400.904.62---0.853.022.630.46
0.61-5.37-1.862.28-1.512.170.76-13.57-2.92-2.99-1.67-2.230.80-2.277.432.941.30-2.39-4.042.104.621.303.102.070.292.964.432.241.061.662.230.360.090.421.223.390.901.592.622.2410.06-0.51-15.851.86-0.62-0.271.351.930.681.241.162.791.045.32---0.993.623.190.57
9.319.269.659.829.599.749.629.6813.5314.1414.1714.0014.6814.5216.0114.6614.2313.9614.4815.2614.8213.9713.3112.8212.7013.1712.1211.4912.3512.2012.0111.6911.7911.7411.6411.4211.1711.1510.9610.6010.459.169.2010.6210.3810.3810.3710.1610.8510.7810.9310.9811.2011.21---10.1010.069.636.96
-0.630.500.000.580.16-1.53-1.99-2.07-0.97-0.14-0.06-0.03-0.221.902.621.600.350.340.890.62-0.13-0.26-0.100.270.210.350.00-0.10-0.051.590.32-0.040.031.060.590.42-0.040.540.470.18-0.160.470.11-0.05-0.130.700.530.21-0.160.790.28-0.320.081.230.940.47-0.050.460.13-0.44-0.26
-0.650.09-0.370.320.10-1.81-2.23-2.23-1.09-0.65-0.42-0.21-0.271.792.591.600.340.040.590.37-0.31-1.21-0.80-0.21-0.06-0.44-0.61-0.52-0.270.64-0.29-0.28-0.050.630.250.12-0.120.04-0.14-0.10-0.28-0.92-0.68-0.44-0.320.010.05-0.22-0.380.380.10-0.390.030.950.730.38-0.100.24-0.02-0.54-0.33