Financial Ratios for Analysis 2009-2024 | SWN

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

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
0.820.480.460.660.801.131.931.760.560.210.941.051.110.841.05
0.400.500.670.860.410.500.690.830.670.350.350.350.250.270.30
0.671.022.126.340.690.982.225.072.061.490.540.550.340.370.43
64.2670.7270.6559.0156.5568.1869.5364.5372.8175.7376.8078.3275.9776.5977.50
-14.9349.0239.52-124.398.8920.6422.82-89.90-208.1734.0035.72-40.3336.3639.12-1.63
-14.9349.0239.52-124.398.8920.6422.82-89.90-208.1734.0035.72-40.3336.3639.12-1.63
5.2156.9247.85-108.5424.6535.3438.84-71.43-171.6257.5859.18-10.4860.3561.7921.45
19.9312.67-0.38-117.2015.8013.9329.75-109.69-209.4235.8835.30-42.1235.6138.13-2.43
23.8712.33-0.38-134.8429.3313.8525.44-112.93-148.8022.8820.88-25.9021.6123.14-1.66
0.541.160.560.450.450.670.430.340.390.270.420.410.370.430.45
---------26.4920.5821.0415.3417.4116.09
9.5910.715.756.278.816.657.486.719.587.627.277.238.637.438.16
38.0634.0963.5158.2041.4554.9148.7754.3938.1047.9150.2450.4942.2949.1544.75
26.4442.76-0.98-626.1627.4522.7452.86-288.22-199.6519.8219.44-23.2916.0720.37-1.53
26.4442.76-0.98-626.1627.4522.7452.86-288.22-199.6519.8219.44-23.2916.0720.37-1.53
12.9814.30-0.21-60.3113.269.2613.91-37.35-56.346.198.75-10.498.0710.03-0.75
15.8321.21-0.32-85.3316.2411.4716.42-47.80-65.2212.9612.63-15.0312.0114.88-1.07
5.353.932.290.746.004.323.861.855.8513.1510.268.6511.378.536.77
2.282.831.730.921.782.122.191.144.156.635.444.744.974.703.96
0.431.000.42-0.62-0.152.73-0.320.771.340.95-0.66-0.73-0.83-0.23-1.22

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
0.530.620.820.590.590.550.480.370.380.220.460.220.310.440.660.710.881.060.800.720.840.941.130.690.662.031.931.881.921.601.762.912.163.940.560.730.830.940.210.740.750.820.940.910.940.841.051.111.131.281.111.090.890.800.841.491.370.931.050.951.031.01
0.500.450.400.390.380.390.500.770.831.020.671.081.010.830.860.860.750.570.410.410.420.440.500.620.610.670.690.730.730.770.830.810.910.850.670.510.420.420.350.300.310.320.350.350.360.360.350.330.320.290.250.260.270.280.270.310.310.290.300.300.280.24
1.110.920.670.630.620.631.023.444.88-41.182.12-14.81-167.835.156.346.382.961.340.690.720.750.790.981.621.592.002.222.692.793.625.074.1410.075.612.061.050.730.731.490.420.450.480.540.540.560.550.550.490.460.400.340.350.370.390.370.450.440.400.430.430.400.34
60.0258.5062.2962.2362.1068.5169.6571.6170.6470.7171.2373.7268.2966.7965.2157.1250.9858.1160.0054.7256.0755.4564.1769.7267.5272.2870.8367.9868.8070.3365.3564.0662.2666.1571.1871.5671.3476.2176.3076.2974.7875.6577.1877.5376.8075.4778.3878.3778.9477.6077.9777.1673.8674.8377.0976.8275.9776.4079.2677.5480.9072.42
-65.47-145.17-90.430.49-4.4928.6144.6753.1651.5044.1447.6839.8027.9028.08-31.32-72.30-184.39-251.698.59-4.563.3021.5229.966.9415.2027.7220.6414.9323.1831.4418.57-111.37-94.25-189.98-372.78-379.44-168.0617.6829.6330.8235.4639.0835.0535.6037.7034.34-73.75-9.54-106.5928.1535.3338.5436.9334.4038.2939.6034.9743.1242.6439.1842.35-129.52
-65.47-145.17-90.430.49-4.4928.6144.6753.1651.5044.1447.6839.8027.9028.08-31.32-72.30-184.39-251.698.59-4.563.3021.5229.966.9415.2027.7220.6414.9323.1831.4418.57-111.37-94.25-189.98-372.78-379.44-168.0617.6829.6330.8235.4639.0835.0535.6037.7034.34-73.75-9.54-106.5928.1535.3338.5436.9334.4038.2939.6034.9743.1242.6439.1842.35-129.52
--------------------------------------------------------------
-72.39-138.67-55.734.5717.8192.1286.1210.1528.98-90.7680.12-116.21-58.007.46-11.68-112.52-214.63-192.7413.429.2822.9416.9726.21-3.056.2522.6131.528.5535.0241.49-32.02-111.83-113.79-195.34-375.55-377.44-167.6713.6144.4937.8233.5329.0228.3735.7147.5628.98-75.65-11.88-108.6027.2534.8837.7936.1333.3537.2838.6833.9142.1541.6438.2441.74-130.14
-56.14-108.33-38.893.1218.2091.5585.839.9128.35-90.8980.12-116.21-58.007.46-11.81-112.52-214.63-261.3214.777.7020.6960.0026.21-3.056.2522.2833.005.8327.6233.22-34.65-112.90-118.77-200.17-309.61-235.78-106.684.9332.4322.7420.0017.4315.9221.4328.5417.38-45.73-7.81-66.8516.4521.3522.8321.8820.2022.3023.5620.6925.7125.2723.5125.36-80.03
0.110.140.140.110.100.160.260.350.320.250.250.170.190.200.150.130.090.110.110.100.100.150.200.130.120.120.110.100.110.120.100.090.070.070.090.070.060.060.060.100.120.130.110.110.110.110.120.090.080.080.090.110.110.110.110.110.110.130.130.110.110.13
-----------------------------------6.456.445.696.165.956.876.985.454.515.255.925.974.893.703.933.543.775.995.164.385.124.776.514.323.732.834.22
1.992.892.492.402.123.182.412.582.322.752.542.262.572.682.122.211.642.032.161.971.862.542.022.401.962.411.892.052.312.731.882.382.222.582.102.111.981.901.822.032.022.051.961.951.931.892.062.322.222.192.172.212.271.991.912.292.012.482.372.532.242.58
45.2131.1936.1737.5542.4128.3437.3034.9438.7432.7535.4339.8734.9733.5842.5240.8254.8844.3941.6845.7148.3135.4544.5037.5745.8837.3747.6143.9638.9532.9847.7637.8840.5234.8242.8442.6645.4747.3649.5844.3244.6143.8346.0246.1146.5647.5143.7238.7440.5041.1441.4440.6939.6145.1947.2039.2444.8936.3137.9135.6140.2234.92
-16.15-35.16-11.180.693.5631.0067.0931.821122,24892.706493,38313.65-18.51-154.43-106.93-90.953.391.564.4820.2213.00-1.322.279.4816.884.6618.0527.46-22.90-63.05-103.49-98.61-92.33-39.19-12.671.116.694.925.125.103.995.287.294.14-11.71-1.58-11.262.593.994.855.064.435.045.584.586.736.745.305.48-19.91
-16.15-35.16-11.180.693.5631.0067.0931.821122,24892.706493,38313.65-18.51-154.43-106.93-90.953.391.564.4820.2213.00-1.322.279.4816.884.6618.0527.46-22.90-63.05-103.49-98.61-92.33-39.19-12.671.116.694.925.125.103.995.287.294.14-11.71-1.58-11.262.593.994.855.064.435.045.584.586.736.745.305.48-19.91
-6.17-14.76-5.490.351.7814.9922.443.439.07-22.5819.93-20.10-11.291.52-1.78-14.27-19.32-29.331.640.742.119.225.30-0.410.722.704.441.073.974.88-2.97-10.28-8.04-13.29-26.06-16.21-5.840.502.092.302.332.301.802.363.221.84-5.28-0.73-5.301.262.012.432.482.152.482.682.183.353.312.652.79-10.24
-8.05-19.25-6.690.422.1919.0333.287.1819.15-56.0130.47-49.52-21.782.35-2.52-20.92-26.97-38.872.000.922.5811.416.56-0.500.883.165.241.274.806.22-3.80-12.26-9.35-14.91-30.16-19.11-7.330.644.383.463.523.452.593.424.672.66-7.56-1.06-7.691.852.983.593.703.193.683.853.174.814.733.713.93-15.20
3.413.965.355.935.895.683.931.280.94-0.112.29-0.28-0.030.870.740.631.523.146.005.795.705.434.323.793.843.743.863.243.112.541.852.281.462.955.8511.5416.1718.3513.1512.1611.4510.7610.2610.019.608.778.659.7810.3111.8911.3710.379.508.878.538.317.707.386.776.466.416.33
0.710.452.281.851.421.032.831.971.250.871.731.050.910.510.920.710.470.301.781.371.010.822.121.671.140.632.191.571.160.631.140.700.430.244.153.212.461.446.635.043.391.735.443.922.501.064.743.422.411.274.973.712.451.134.703.482.321.203.962.841.931.19
-0.17-0.020.430.300.360.421.000.530.310.420.420.110.190.18-0.62-0.51-0.40-0.13-0.15-0.18-0.030.342.73-0.05-0.020.12-0.32-0.27-0.06-0.050.770.79-0.06-0.271.341.411.750.090.950.800.680.29-0.66-0.99-0.85-0.32-0.73-0.66-0.37-0.32-0.83-0.35-0.13-0.34-0.230.160.49-0.07-1.22-1.10-0.83-0.21