SS&C Technologies Holdings Financial Ratios for Analysis 2009-2024 | SSNC

Fifteen years of historical annual and quarterly financial ratios and margins for SS&C Technologies Holdings (SSNC).

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
1.071.111.101.011.001.070.810.741.621.231.321.291.131.830.83
0.510.540.490.530.580.640.430.510.560.310.380.480.090.250.38
1.051.160.961.131.401.800.761.111.310.460.630.940.100.340.62
48.1947.6147.7044.8643.6340.0547.0945.9646.7846.5145.4545.6550.3049.5549.16
21.9721.6324.6021.1219.7412.5423.6919.4816.4726.0925.6722.3325.2924.2724.77
21.9721.6324.6021.1219.7412.5423.6919.4816.4726.0925.6722.3325.2924.2724.77
34.4034.6138.0736.9537.0828.1038.4835.6432.3639.8640.4937.7437.8837.6938.92
15.5916.5820.5316.6211.483.6616.8711.046.0823.1420.3712.7719.9413.5110.64
11.0312.3115.8413.399.463.0219.638.844.2917.0816.548.3013.769.857.02
0.300.320.290.290.280.210.300.260.170.340.310.230.310.260.23
---------------
1.613.031.462.491.932.026.545.604.757.236.415.457.736.886.41
22712125114718918155.7865.1376.8450.4956.9367.0347.2353.0256.95
9.5110.6412.8610.948.572.2512.245.802.049.749.574.265.213.782.94
-9.38-9.34-14.23-9.40-5.83-1.22-13.76-4.44-1.45-20.85-15.32-4.47-43.78-12.25-4.17
3.363.904.623.932.620.645.942.300.745.795.181.944.232.541.60
4.664.946.605.163.600.817.012.830.896.745.952.224.722.831.83
25.9424.3124.3122.1920.0918.2613.0111.1210.848.007.456.806.315.895.35
4.774.335.354.445.032.632.232.031.211.451.220.810.680.520.47
3.793.584.854.054.562.302.011.851.111.341.130.700.640.480.45

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
1.161.141.071.141.191.141.111.131.111.081.101.061.051.021.011.051.081.061.001.081.091.121.071.581.531.030.810.960.890.850.741.000.991.091.622.145.631.301.231.351.411.441.321.351.481.551.291.481.411.311.131.741.881.731.831.952.020.950.831.28--
0.500.500.510.520.520.530.540.550.540.540.490.510.520.530.530.560.560.580.580.610.620.630.640.610.620.410.430.460.480.500.510.530.540.560.560.570.170.300.310.300.330.360.380.410.440.460.480.500.520.080.090.150.170.190.250.260.280.370.380.39--
1.021.021.051.111.111.151.161.251.191.210.961.041.081.141.131.271.301.441.401.581.621.711.801.581.640.710.760.880.951.051.111.121.201.271.311.360.220.450.460.450.510.580.630.700.820.890.941.011.140.080.100.180.210.240.340.350.390.590.620.63--
48.1149.2850.9647.9147.0546.7548.3747.2246.9947.8648.7749.3547.2645.3345.7545.4544.9343.2945.3343.8343.4641.8042.5741.5532.6345.6048.5847.4445.5746.6648.7945.7343.5845.4947.2645.9448.5345.4147.3847.3645.8345.3746.0946.4145.4743.7543.9743.3847.7949.9850.1850.7250.2950.0149.4948.9949.8449.9050.2549.4948.6748.10
22.5723.2023.6822.4321.1520.5522.5123.0318.4822.5324.7426.9024.8521.8222.3322.2921.2018.6421.7119.8919.4717.7619.1118.20-5.6620.6025.8624.8421.8722.0123.7520.0617.7015.5616.055.3227.4220.9726.7028.2324.0525.3126.2026.6625.5224.2424.9022.5017.4823.5624.7525.5424.9425.9624.4423.6024.2524.8426.9325.6423.5522.71
22.5723.2023.6822.4321.1520.5522.5123.0318.4822.5324.7426.9024.8521.8222.3322.2921.2018.6421.7119.8919.4717.7619.1118.20-5.6620.6025.8624.8421.8722.0123.7520.0617.7015.5616.055.3227.4220.9726.7028.2324.0525.3126.2026.6625.5224.2424.9022.5017.4823.5624.7525.5424.9425.9624.4423.6024.2524.8426.9325.6423.5522.71
--------------------------------------------------------------
14.0915.6619.6015.2114.2713.1120.3716.1411.7018.1322.3719.4021.1719.1119.5118.9117.4910.5713.3710.3713.538.519.7911.88-18.2614.7019.8217.9615.1814.3016.7112.508.904.784.39-14.6524.8017.5124.8225.8720.5421.1222.4421.5720.2217.1117.1113.11-5.1827.3819.1922.5021.2816.6416.6016.267.8013.1613.9311.887.538.91
13.1110.9813.7711.429.599.2515.5012.118.3213.2919.3914.5815.0814.1816.3813.8314.898.4511.778.3010.557.115.275.74-7.1112.1637.7415.3512.4311.8114.2310.117.562.164.02-12.3218.3912.7618.2421.2014.4414.2314.7324.2114.7212.379.3610.64-4.7719.0913.8615.8014.1911.0510.6611.875.3411.548.488.145.196.12
0.090.080.080.080.090.090.080.080.080.070.070.070.070.070.080.070.070.070.070.070.070.070.070.070.070.080.080.070.070.070.070.070.070.060.050.050.080.090.090.090.080.080.080.080.080.080.070.070.050.080.080.080.070.070.070.070.070.060.060.06--
--------------------------------------------------------------
0.580.490.410.841.191.100.770.700.540.390.370.390.350.460.640.810.780.670.500.670.670.690.650.790.621.601.711.661.621.551.521.381.341.081.431.542.131.781.891.831.851.861.641.651.491.501.691.521.131.751.991.821.721.521.801.621.551.541.681.83--
15518221810775.9381.9111712816623224122826019714011211613517913413313113711414556.3352.5554.3455.5958.1159.3465.1067.2483.1962.9958.6242.2250.6247.6249.0648.7448.4754.8154.6960.4159.8853.1059.2679.4351.4845.1349.5052.2059.1249.9355.4358.0558.6153.5549.15--
2.942.433.052.532.102.063.402.761.802.754.043.123.263.053.452.963.191.952.771.972.501.711.281.35-1.521.826.162.562.112.072.521.741.300.330.57-1.671.851.962.723.072.072.102.183.632.341.961.501.67-0.571.771.351.561.361.051.071.190.541.350.930.88--
-3.10-2.53-3.00-2.38-1.94-1.84-2.99-2.24-1.55-2.34-4.46-3.05-3.01-2.69-2.96-2.28-2.40-1.36-1.88-1.23-1.53-0.99-0.69-0.971.06-2.31-6.92-2.47-1.88-1.70-1.93-1.33-0.93-0.22-0.411.1921.49-4.41-5.82-6.94-4.16-3.70-3.49-5.27-2.90-2.25-1.57-1.660.52-21.17-11.38-10.27-7.70-4.86-3.47-3.82-1.55-2.03-1.32-1.33--
1.130.911.080.970.830.791.250.970.630.911.451.091.091.051.241.031.090.620.850.600.750.500.360.43-0.470.922.991.150.910.851.000.690.500.120.21-0.601.381.191.621.881.231.191.181.901.140.930.680.74-0.241.471.101.191.010.760.720.790.350.750.510.48--
1.461.211.491.211.000.971.581.230.831.262.071.541.581.451.631.311.400.821.160.770.960.630.460.53-0.581.083.531.371.091.031.230.830.600.150.25-0.711.521.371.882.141.391.351.362.161.301.050.780.84-0.271.631.231.321.120.850.800.880.390.850.580.54--
26.5026.2725.9425.0625.1524.6524.3122.9623.9724.4624.3123.2722.8222.4322.1921.0420.6219.8720.0919.0619.1018.7218.2617.5717.5413.5513.0112.1811.7811.4211.1210.9710.8110.8010.8410.6810.957.928.007.947.877.597.457.276.856.756.806.706.426.476.316.156.196.105.895.765.605.455.3544.67--
2.240.714.773.262.290.994.332.931.700.695.353.552.100.694.442.832.090.565.032.871.570.522.631.280.510.322.231.450.920.282.031.150.680.091.210.620.560.181.450.940.530.221.220.900.410.120.810.360.230.080.680.440.250.080.520.320.160.120.470.360.160.09
1.790.513.792.541.810.783.582.351.400.554.853.191.880.584.052.531.900.464.562.501.340.402.301.090.360.272.011.270.810.231.851.030.600.071.110.560.520.161.340.860.470.201.130.830.360.110.700.310.200.070.640.410.230.060.480.290.140.110.450.350.160.09