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Straumann Holding AG Financial Ratios for Analysis 2011-2021 | SAUHY
Prices
Financials
Revenue & Profit
Assets & Liabilities
Margins
Price Ratios
Other Ratios
Other Metrics
Income Statement
Balance Sheet
Cash Flow Statement
Key Financial Ratios
Format: Annual
Format: Quarterly
Format: Annual
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Annual Data
2021-12-31
2020-12-31
2019-12-31
2018-12-31
2017-12-31
2016-12-31
2015-12-31
2014-12-31
2013-12-31
2012-12-31
Current Ratio
2.717
3.0369
1.5228
2.8128
3.2027
2.711
3.4208
4.8326
4.7289
2.9597
Long-term Debt / Capital
0.3151
-
-
0.1423
0.1573
0.2396
0.248
0.213
0.2399
-
Debt/Equity Ratio
0.4872
-
-
0.166
0.1867
0.315
0.3298
0.2706
0.3157
-
Gross Margin
76.167
72.222
75.2073
74.7488
75.5744
78.3125
77.002
78.6535
78.8207
77.4519
Operating Margin
26.8351
10.9788
24.2534
25.128
25.5041
24.7599
21.6088
20.8818
16.626
8.6344
EBIT Margin
26.8351
10.9788
24.2534
25.128
25.5041
24.7599
21.6088
20.8818
16.626
8.6344
EBITDA Margin
31.9395
17.9548
30.1109
28.9684
29.0929
27.6222
25.7358
24.8078
21.2965
13.7184
Pre-Tax Profit Margin
23.6107
7.9887
22.8958
23.9393
29.083
24.2203
10.0423
24.9795
17.6329
8.1456
Net Profit Margin
19.5894
6.4019
19.1999
20.0043
24.5407
25.0241
8.8504
22.2204
14.8834
5.3093
Asset Turnover
0.6812
0.5595
0.6679
0.7313
0.6626
0.8418
0.7633
0.6119
0.6668
0.8882
Inventory Turnover Ratio
1.9335
1.8288
1.6872
1.8913
1.7854
1.9517
2.413
2.1912
2.3105
2.4317
Receiveable Turnover
5.0972
4.703
4.1427
4.4969
4.4767
4.8248
5.3332
5.3975
5.976
6.5707
Days Sales In Receivables
71.6082
77.6093
88.106
81.167
81.5336
75.6509
68.4387
67.6237
61.0778
55.55
ROE - Return On Equity
26.6111
7.6257
22.5296
23.0659
25.7581
36.2327
11.8206
21.4193
16.7185
5.7728
Return On Tangible Equity
46.3445
16.4863
49.3335
50.335
62.5284
71.8277
19.949
23.6318
18.8796
8.0692
ROA - Return On Assets
13.4529
3.6203
12.8884
14.8982
16.4202
21.0657
6.8347
13.5965
10.3514
4.7163
ROI - Return On Investment
18.226
7.6257
22.5296
19.7828
21.7058
27.5527
8.889
16.8572
12.7073
5.7728
Book Value Per Share
1.0311
0.8121
0.8674
0.7777
0.6847
0.4052
0.4006
0.5164
-
-
Operating Cash Flow Per Share
0.1319
0.0128
0.061
0.0366
0.0225
-0.0028
0.0205
-0.0042
0.0266
0.0792
Free Cash Flow Per Share
0.1076
0.0504
0.035
0.0209
0.0046
-0.007
0.0108
-0.0076
0.0324
0.0658
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