Southwest Gas Financial Ratios for Analysis 2009-2024 | SWX

Fifteen years of historical annual and quarterly financial ratios and margins for Southwest Gas (SWX).

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
1.121.080.520.960.800.890.810.851.041.291.140.860.540.750.88
0.580.590.580.510.480.480.500.480.490.520.490.490.430.490.54
1.601.962.141.081.071.021.120.961.001.110.991.011.021.031.15
76.9483.8988.2989.6187.6585.4486.0783.8677.1176.1877.6575.1267.4959.7854.24
7.70-0.4910.0412.8211.9212.4113.4612.8211.7013.4114.0614.0813.2512.6811.00
7.70-0.4910.0412.8211.9212.4113.4612.8211.7013.4114.0614.0813.2512.6811.00
15.818.9920.1222.8921.6421.0623.3124.5722.6725.3326.2025.6723.8723.0921.04
3.63-5.516.719.248.748.4510.169.418.9010.3511.4210.799.288.656.97
2.78-4.105.467.046.866.337.616.185.616.657.456.925.955.684.62
0.460.380.290.380.380.390.410.440.460.410.430.430.440.460.48
---------------
6.125.675.086.196.176.727.178.507.076.998.749.658.7010.8211.39
59.6864.3971.8058.9859.1854.3250.8942.9651.6652.2441.7737.8441.9833.7232.05
4.70-6.467.018.938.658.0710.709.218.769.5010.2610.149.128.867.90
6.17-8.7017.6710.2610.029.6011.8810.069.5110.5110.3910.149.128.867.90
1.31-1.501.622.742.652.473.112.742.602.713.172.962.612.602.23
1.96-2.652.934.424.514.175.374.774.444.535.195.155.184.513.67
46.2545.5748.8946.7745.5642.4637.6934.9933.6131.9530.4728.3526.6625.5924.44
7.176.221.8811.169.2110.697.7112.5611.657.387.408.305.448.109.01
-5.12-6.89-10.20-3.55-8.06-4.79-5.291.481.35-1.08-0.39-0.20-2.793.394.19

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
0.851.581.041.121.902.121.401.081.300.700.780.521.030.790.970.960.870.940.690.800.981.040.850.891.011.051.100.810.820.990.910.850.890.740.811.040.971.031.101.291.141.071.201.140.860.820.890.860.750.760.850.540.420.520.820.750.570.580.720.880.720.690.82
0.550.580.580.580.620.620.580.590.630.570.570.580.550.470.490.510.510.500.480.480.500.500.470.480.520.510.520.500.500.500.480.480.500.470.460.490.500.500.490.520.500.480.480.490.480.480.480.490.500.480.480.430.440.440.480.490.490.490.490.540.490.530.53
1.401.421.591.601.651.641.541.961.841.761.812.141.421.091.111.081.061.101.031.071.041.000.991.021.121.081.091.121.091.000.930.961.010.900.871.001.010.990.981.111.000.950.940.990.970.920.911.011.000.951.081.020.980.930.911.030.960.950.971.150.971.141.15
89.6579.4960.1574.8085.4682.1468.3482.3191.0387.1076.4287.5892.8390.6982.3991.4495.4191.0980.7789.1295.1690.8676.8987.2592.5387.5675.3887.4192.3287.6177.5788.6192.7786.9670.7980.0587.2879.7665.4477.2283.1278.3868.5478.0387.6783.1467.3081.2585.6777.5663.0971.9080.9569.8754.8466.9173.5861.7147.3360.1867.0856.7442.62
5.707.0410.0010.105.156.558.43-20.304.443.9813.2910.472.627.2219.5816.726.868.9217.7416.305.287.7016.8517.145.947.9517.1818.305.908.6118.9921.472.885.1318.3417.163.194.6517.6517.904.235.9020.8918.721.597.0222.5623.581.703.7520.4719.690.365.2920.1018.410.066.2318.2018.130.163.7914.89
5.707.0410.0010.105.156.558.43-20.304.443.9813.2910.472.627.2219.5816.726.868.9217.7416.305.287.7016.8517.145.947.9517.1818.305.908.6118.9921.472.885.1318.3417.163.194.6517.6517.904.235.9020.8918.721.597.0222.5623.581.703.7520.4719.690.365.2920.1018.410.066.2318.2018.130.163.7914.89
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0.052.066.626.090.232.714.76-26.14-1.14-0.919.587.01-1.253.9016.9214.083.516.4811.8613.311.334.0914.5112.422.404.0213.6015.412.284.7815.9815.76-0.012.2616.1515.16-1.171.3915.5115.090.302.7218.2716.24-1.623.6620.6320.23-2.28-1.3118.6916.68-6.851.2317.2014.90-4.02-0.0315.1214.40-5.27-0.9211.67
0.031.555.555.330.282.232.86-19.75-1.09-0.577.596.45-1.303.0613.2411.332.315.018.6710.810.743.0911.378.811.853.2110.4813.031.723.1910.5910.160.461.6310.329.65-0.940.929.809.360.462.1211.6310.64-0.742.4613.1712.77-1.16-0.9012.0010.69-4.441.0410.919.61-1.57-0.249.679.30-2.61-0.157.25
0.090.100.130.120.100.110.140.110.090.090.100.090.090.090.100.100.090.090.100.100.090.090.110.110.100.100.120.120.100.100.120.110.100.100.140.130.100.100.140.120.090.100.130.120.090.090.140.110.090.100.150.120.090.100.160.120.080.100.170.130.090.110.19
---------------------------------------------------------------
1.591.471.861.541.291.371.761.621.421.491.641.501.231.531.821.711.521.561.941.681.571.651.881.841.681.782.152.081.931.952.602.221.661.822.581.971.651.872.302.072.112.412.962.412.422.542.952.442.362.553.092.392.773.003.722.773.043.683.803.002.422.983.73
56.7661.3548.4158.4769.8565.6051.1655.4263.5860.4654.8860.0873.3958.7549.3452.4859.2657.5446.3353.6857.1854.6347.8749.0353.5050.4641.9443.1946.6246.2734.6040.6354.1849.5134.8645.7954.6548.0339.0543.5442.7037.2930.4037.3237.2535.4530.5636.8238.0935.3229.1537.7332.4829.9624.2132.5229.5824.4623.7130.0037.1230.1824.10
0.070.552.612.220.120.931.45-9.07-0.33-0.182.792.41-0.320.934.283.930.801.532.873.670.270.944.063.090.631.124.175.320.611.064.033.950.180.554.574.19-0.270.334.633.960.130.664.814.05-0.220.735.854.75-0.35-0.306.094.50-1.330.335.553.85-0.44-0.095.554.18-0.78-0.064.60
0.090.703.412.920.161.221.90-12.22-0.68-0.365.676.07-0.441.064.904.510.921.753.304.250.311.104.813.670.701.234.615.900.671.154.394.320.200.614.974.55-0.300.365.084.390.130.664.814.10-0.220.735.854.75-0.35-0.306.094.50-1.330.335.553.85-0.44-0.095.554.18-0.71-0.064.60
0.020.170.740.620.030.250.40-2.10-0.09-0.050.730.56-0.090.291.331.200.250.470.901.120.080.301.260.940.190.331.241.550.180.321.241.180.050.171.421.24-0.080.101.391.130.040.211.541.25-0.070.231.831.38-0.10-0.091.781.29-0.400.101.731.13-0.13-0.031.681.18-0.22-0.021.34
0.030.231.090.930.050.350.61-3.72-0.12-0.081.211.01-0.140.502.171.940.400.761.501.910.130.482.141.590.300.542.022.670.300.532.112.050.090.302.482.12-0.140.162.351.890.070.342.492.05-0.120.383.072.41-0.18-0.163.182.56-0.740.192.901.96-0.23-0.042.821.94-0.36-0.032.14
50.6351.1446.8346.2545.2945.6546.2145.5750.8951.6252.1948.8948.1948.1847.8346.7746.3946.7146.2245.5644.3744.5443.9542.4639.3739.3438.8237.6935.9036.0336.0334.9934.1834.5834.7633.6132.6732.9433.1331.9531.2131.5031.6230.4729.3629.7029.7628.3527.4127.7628.0826.6625.8726.6426.8525.5924.6025.1025.6224.4425.9324.1224.36
16.0111.817.567.172.760.17-2.716.224.523.933.071.880.860.02-0.9111.168.666.764.919.216.915.163.5210.698.225.053.737.716.244.143.3812.569.998.736.5911.658.717.074.727.385.584.213.037.400.004.602.868.306.915.693.585.445.334.072.838.106.955.543.579.017.115.583.32
6.465.934.78-5.12-6.49-5.95-5.92-6.89-4.60-1.560.39-10.20-7.61-5.73-3.56-3.55-2.57-0.871.10-8.06-6.23-3.58-0.42-4.79-3.08-1.880.54-5.29-3.14-1.340.961.481.543.194.231.351.602.762.80-1.08-0.670.471.39-0.39-1.351.72-0.201.141.851.75-2.79-0.421.061.713.393.623.532.824.193.292.972.15