Sypris Solutions Financial Ratios for Analysis 2009-2024 | SYPR

Fifteen years of historical annual and quarterly financial ratios and margins for Sypris Solutions (SYPR).

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
1.201.431.651.861.711.571.852.421.551.191.601.651.341.461.43
0.270.250.340.420.400.380.370.260.42-0.300.230.140.260.23
0.450.520.570.840.710.660.630.370.920.360.430.300.170.390.35
12.6613.4914.8914.6411.248.614.050.820.2210.949.6712.8110.509.346.02
0.710.331.960.11-4.90-4.88-14.76-24.79-20.400.77-3.342.651.84-2.78-8.57
0.710.331.960.11-4.90-4.88-14.76-24.79-20.400.77-3.342.651.84-2.78-8.57
3.103.134.683.15-1.86-1.87-10.04-17.94-14.183.702.876.236.082.74-2.86
-0.68-1.404.10-1.57-4.50-4.22-13.906.91-17.360.95-3.213.663.29-3.26-3.18
-1.17-2.262.992.03-4.49-3.98-13.156.38-18.73-0.33-3.200.752.24-3.831.01
1.051.061.231.361.461.431.441.472.172.742.122.121.911.481.40
1.542.262.764.333.754.334.486.257.1810.888.158.778.937.998.60
15.2613.6611.5111.3811.818.908.8311.4611.737.448.068.877.816.446.94
23.9226.7331.7232.0630.9141.0041.3231.8531.1349.0445.2741.1746.7556.7252.60
-7.10-12.7415.1611.29-29.40-23.63-63.9223.16-138.07-2.53-17.5816.3113.95-16.23-8.02
-7.10-12.7415.1611.29-29.40-23.63-63.9223.16-138.07-2.53-17.5818.3215.75-18.35-8.95
-1.23-2.393.682.75-6.58-5.69-18.939.65-40.69-0.91-6.766.384.80-5.40-2.79
-5.18-9.5610.006.53-17.75-14.55-40.4417.06-80.07-2.53-12.3212.5311.97-11.97-6.21
1.000.880.880.690.630.690.791.220.952.292.763.123.023.043.40
-0.510.630.180.17-0.280.09-0.47-0.97-0.680.16-0.02-0.250.920.090.18
-0.600.500.060.19-0.230.06-0.411.540.02-0.11-0.16-0.380.820.05-0.11

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
1.261.281.161.201.241.301.441.431.631.371.531.651.671.631.481.861.511.561.501.711.501.571.461.571.561.731.751.851.701.741.892.422.211.381.561.551.521.011.101.191.491.461.501.601.421.521.501.651.361.461.381.341.331.411.491.461.411.411.411.431.120.730.75
0.310.310.290.270.210.160.170.250.280.260.260.340.250.260.380.420.330.410.350.400.400.380.410.380.390.370.380.370.340.300.280.260.240.650.540.420.35-0.11-0.310.280.280.300.200.270.230.230.110.170.120.140.160.260.280.260.260.250.220.230.38--
0.670.650.600.450.350.330.480.520.580.530.530.570.520.520.980.840.821.110.830.710.720.650.740.660.690.620.650.630.520.450.400.370.322.561.490.920.651.020.600.360.450.400.400.430.250.360.300.300.120.200.130.170.190.350.380.390.390.390.350.351.321.661.56
16.7715.888.1112.6012.0313.1112.8915.467.8213.0117.2317.0715.4916.599.0912.9415.9712.3716.6112.5210.4516.324.405.875.7012.7710.187.043.477.64-3.01-0.84-2.613.192.703.576.42-0.08-8.5310.589.1011.6312.548.649.5210.1510.3012.8011.9013.3712.9710.4211.269.5410.7510.879.847.289.178.778.336.400.82
4.853.58-3.86-0.81-0.392.711.292.71-6.360.154.284.313.783.44-5.33-0.833.81-5.011.24-4.09-4.551.15-13.76-0.48-9.54-2.36-8.15-7.29-12.89-13.40-27.37-28.51-28.21-19.77-23.70-16.61-10.61-19.23-34.84-1.37-0.201.802.87-2.50-1.28-0.84-8.78-0.830.814.524.670.621.700.265.14-2.91-1.09-5.54-1.84-5.46-6.15-7.43-15.01
4.853.58-3.86-0.81-0.392.711.292.71-6.360.154.284.313.783.44-5.33-0.833.81-5.011.24-4.09-4.551.15-13.76-0.48-9.54-2.36-8.15-7.29-12.89-13.40-27.37-28.51-28.21-19.77-23.70-16.61-10.61-19.23-34.84-1.37-0.201.802.87-2.50-1.28-0.84-8.78-0.830.814.524.670.621.700.265.14-2.91-1.09-5.54-1.84-5.46-6.15-7.43-15.01
---------------------------------------------------------------
2.631.34-5.72-2.51-1.360.770.371.12-8.96-1.122.692.872.4515.93-7.55-5.001.16-1.66-1.04-4.68-6.856.31-15.13-2.15-10.903.74-8.80-8.94-14.40-14.70-18.24-22.8899.20-22.13-18.92-19.715.15-20.65-35.26-1.050.041.553.34-3.33-1.49-0.67-7.44-0.881.645.426.701.218.65-0.923.87-2.75-1.69-5.38-3.5422.10-9.06-8.97-16.51
1.050.05-6.25-3.09-1.650.58-0.540.48-8.90-2.170.901.651.1414.72-8.16-5.6215.71-2.03-1.36-3.84-6.996.03-15.52-0.65-11.073.40-9.00-5.74-14.66-14.81-18.19-20.5094.73-22.14-18.93-18.86-0.71-20.65-35.22-2.23-1.300.381.880.07-2.63-1.83-8.25-1.73-7.324.255.481.516.30-1.822.71-2.42-2.58-6.76-3.8534.16-2.82-9.77-16.76
0.290.290.280.270.260.270.280.290.270.380.320.320.340.330.320.340.360.310.390.360.350.370.300.390.340.380.350.380.340.310.260.320.290.340.370.440.530.460.340.670.540.550.510.500.510.500.460.420.460.500.480.480.490.440.390.370.390.340.330.350.270.300.29
0.440.460.460.390.390.480.540.600.660.860.690.710.790.930.971.111.040.810.960.910.971.030.891.211.061.141.081.130.930.820.961.381.451.101.261.391.541.671.342.692.312.352.021.961.841.931.931.731.932.172.162.232.241.981.911.982.111.801.832.081.781.811.61
2.883.092.723.893.123.303.013.682.853.062.003.052.242.482.512.852.582.692.512.902.572.202.152.421.841.891.992.312.041.972.022.492.431.912.002.352.823.091.221.831.461.431.441.921.641.551.481.751.781.551.591.941.681.571.481.621.561.661.581.731.861.531.47
31.2329.1633.1423.1428.8827.2929.8824.4331.6229.3745.0829.5440.1736.3235.8631.5834.9533.4535.8130.9835.0540.9041.9537.1248.9347.5045.1239.0244.0145.7544.4936.1037.0047.0145.0038.3031.9529.1473.8749.1961.4662.7662.4646.9554.8157.9560.6751.4050.5657.9856.4946.2953.4257.1960.7855.4657.7654.0857.0152.1748.4858.8961.21
2.150.08-10.65-4.80-2.590.95-0.830.72-12.81-3.201.172.261.7522.90-13.04-7.9522.99-3.02-2.70-6.40-11.619.95-22.61-1.27-16.155.01-11.32-7.29-17.33-14.91-13.88-17.8169.43-55.27-34.12-27.87-1.15-33.92-39.11-4.37-2.080.642.860.11-3.75-2.71-11.19-1.350.927.168.092.329.45-2.473.96-2.72-2.83-6.60-3.6722.29-3.35-14.59-24.04
2.150.08-10.65-4.80-2.590.95-0.830.72-12.81-3.201.172.261.7522.90-13.04-7.9522.99-3.02-2.70-6.40-11.619.95-22.61-1.27-16.155.01-11.32-7.29-17.33-14.91-13.88-17.8169.43-55.27-34.12-27.87-1.15-33.92-39.11-4.37-2.080.642.860.11-3.75-2.71-11.19-1.521.037.959.002.6210.59-2.774.44-3.07-3.20-7.45-4.1024.89-3.81-20.96-33.79
0.320.01-1.72-0.83-0.430.16-0.150.13-2.43-0.820.290.550.384.86-2.65-1.935.69-0.62-0.53-1.43-2.422.28-4.63-0.31-3.731.35-3.11-2.16-4.93-4.57-4.77-7.4228.88-7.45-6.95-8.21-0.38-9.57-11.99-1.58-0.690.221.000.04-1.34-0.90-3.83-0.530.342.532.770.803.24-0.801.29-0.90-0.89-2.14-1.287.77-0.81-2.88-4.91
1.480.06-7.53-3.50-2.040.80-0.690.54-9.27-2.370.861.491.3116.99-8.12-4.5915.47-1.78-1.74-3.86-6.956.19-13.33-0.78-9.793.15-7.02-4.61-11.49-10.37-9.99-13.1253.00-19.43-15.62-16.16-0.75-33.92-34.92-4.37-1.430.462.040.08-3.01-1.99-8.59-1.040.825.977.141.997.91-1.832.86-2.00-2.09-4.93-2.8717.26-2.09-14.59-24.04
0.790.830.931.000.951.000.940.880.790.890.920.880.770.780.590.690.710.540.530.630.630.710.630.690.680.760.740.790.840.981.111.221.420.440.700.951.141.191.612.292.722.822.852.762.612.702.893.123.203.473.383.023.223.153.183.043.043.053.363.402.922.332.45
-0.010.20-0.08-0.51-0.370.16-0.060.630.38-0.09-0.140.180.090.38-0.040.170.00-0.050.03-0.28-0.15-0.28-0.220.09-0.05-0.13-0.03-0.47-0.42-0.29-0.04-0.97-0.65-0.35-0.24-0.68-0.60-0.56-0.270.160.310.240.13-0.02-0.04-0.050.03-0.250.06-0.25-0.030.920.510.100.040.09-0.010.00-0.070.180.02-0.10-0.43
-0.040.18-0.09-0.60-0.460.10-0.090.500.25-0.18-0.180.060.010.32-0.080.190.040.000.03-0.23-0.14-0.28-0.240.06-0.05-0.12-0.03-0.41-0.36-0.210.071.541.820.200.320.020.14-0.60-0.29-0.110.080.110.10-0.16-0.09-0.020.09-0.380.08-0.140.130.820.55-0.02-0.010.05-0.03-0.03-0.08-0.11-0.19-0.26-0.52