Synaptics Financial Ratios for Analysis 2011-2026 | SYNA

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

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
202520242023202220212020201920182017201620152014201320122011
2.784.194.893.031.504.412.882.612.552.222.052.923.754.234.03
0.370.400.440.440.290.420.420.380.210.240.23-0.000.010.01
0.600.660.790.780.910.720.710.620.290.330.31-0.000.010.01
44.7245.8452.8354.2145.6340.7233.7729.4530.4734.8933.9846.0349.1046.6241.11
-8.76-10.5911.3920.1410.975.17-0.43-3.803.774.519.527.6515.1712.3212.12
-8.76-10.5911.3920.1410.975.17-0.43-3.803.774.519.527.6515.1712.3212.12
4.560.7923.0328.6223.6112.448.274.879.2210.8216.179.9316.8014.2213.98
-10.57-12.999.3018.428.9711.95-1.41-5.023.574.549.417.8615.3312.5012.28
-4.4513.095.4314.805.948.91-1.56-7.612.844.336.484.9314.909.8810.66
0.420.340.520.610.600.791.041.091.361.281.120.930.961.011.31
4.264.564.664.698.887.756.148.779.097.418.026.216.769.2412.22
8.246.748.275.405.876.836.405.646.736.605.254.864.475.266.38
44.2754.1844.1567.5862.2053.4457.0264.7354.2155.3169.5775.1681.6569.3357.21
-3.438.565.9220.338.2314.50-3.48-17.026.5910.2413.926.6618.9513.6518.76
-18.3634.7057.2836983.1832.56-16.39-90.3911.2921.3731.468.3720.2614.8318.87
-1.854.452.829.013.577.01-1.62-8.273.855.557.274.5814.3110.0013.98
-2.145.163.3211.485.858.45-2.03-10.525.187.8310.786.6618.8713.5718.64
36.1037.0732.2431.9627.3724.0119.7120.6921.3720.0221.1319.0215.6812.0610.16
3.613.428.2511.378.336.374.464.244.296.775.253.552.992.942.53
2.962.577.4011.987.789.893.773.243.416.023.912.501.942.642.20

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
2025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
2.932.862.782.883.884.494.195.324.534.524.894.964.423.863.033.172.942.471.503.952.982.414.413.483.302.982.883.192.642.422.612.502.362.352.552.282.452.382.222.542.241.952.052.212.142.912.923.323.833.873.753.714.004.064.234.764.353.644.03
-0.370.370.380.380.400.400.440.440.450.440.420.430.420.440.460.480.280.290.490.400.410.420.400.410.420.420.390.390.390.380.390.390.370.210.230.220.230.240.220.230.240.230.240.25----0.000.000.010.010.010.010.010.010.010.01
-0.600.600.600.610.660.660.790.800.810.790.740.750.740.780.850.920.390.910.960.670.710.720.680.690.720.710.640.650.640.620.640.650.590.290.320.300.330.330.290.310.340.310.330.34---0.000.000.000.010.010.010.010.010.010.010.01
43.5442.6042.9643.4445.7346.9245.8446.4845.9945.0644.5252.7652.8757.0655.8653.9953.5353.1552.1147.7342.0640.9643.9541.3341.0337.1330.6334.7335.2133.7432.8431.1926.7727.4129.7330.3230.0731.9533.3735.8835.1134.8534.9334.4027.3542.5444.4245.2545.9549.0950.0149.6548.2647.6846.0847.2147.2445.9142.26
-4.99-7.93-8.56-9.87-5.69-11.02-12.57-7.33-7.55-14.81-16.7210.4713.0624.9926.0518.7418.4516.2615.539.7016.361.834.395.798.880.94-11.28-1.145.881.39-2.24-3.12-5.58-4.054.222.776.241.45-7.725.249.637.199.1910.876.4712.8412.50-17.6910.7321.2023.3614.4910.446.5611.1511.1914.5512.2311.37
--7.93-8.56-9.87-5.69-11.02-12.57-7.33-7.55-14.81-16.7210.4713.0624.9926.0518.7418.4516.2615.539.7016.361.834.395.798.880.94-11.28-1.145.881.39-2.24-3.12-5.58-4.054.222.776.241.45-7.725.249.637.199.1910.876.4712.8412.50-17.6910.7321.2023.3614.4910.446.5611.1511.1914.5512.2311.37
-----------------------------------------------------------
--7.76-9.12-10.28-9.73-13.31-14.83-9.82-10.13-17.08-19.498.3311.1623.1424.1818.4617.1012.5012.727.5514.680.4040.274.828.29-0.12-12.64-2.434.860.93-3.40-4.31-6.67-5.493.852.436.371.22-7.355.449.467.029.0010.666.3213.0512.69-17.4410.9621.3923.5214.6110.596.7311.3411.3914.7112.4011.56
-4.89-7.04-1.66-8.180.67-8.9684.20-7.63-3.80-23.39-10.293.186.2314.4217.4013.8116.5310.795.804.2413.87-0.8532.421.525.101.18-15.662.013.010.91-0.39-3.48-19.15-6.354.171.014.940.96-2.195.097.445.066.546.604.539.4110.95-19.618.4215.7019.6722.327.774.768.948.6911.959.759.71
-0.110.110.100.110.090.090.090.090.090.090.120.130.160.170.170.160.210.150.150.200.190.160.220.270.240.210.230.280.270.260.270.300.280.340.350.350.310.250.280.320.340.320.320.310.280.310.230.250.330.330.270.260.230.250.250.300.300.31
-1.171.161.131.211.141.181.111.020.990.921.040.941.071.241.481.471.971.912.462.831.691.532.022.791.551.291.421.891.721.992.502.241.692.281.972.021.721.471.952.242.092.222.062.322.132.131.592.151.982.301.872.302.132.342.492.632.512.87
-2.452.172.021.821.901.741.641.872.141.391.501.381.581.481.581.351.381.441.391.431.441.421.381.581.461.281.251.311.261.341.531.821.651.671.801.781.611.281.261.401.351.481.491.381.451.611.361.551.451.551.531.441.301.321.381.681.401.53
-36.7741.4744.5649.3547.4351.8054.8848.0842.1064.9060.1365.0057.0660.8557.1166.8265.1362.6864.5662.7462.4363.3265.3957.1161.4870.1571.8968.9571.6866.9758.9849.4354.6853.8549.9650.6755.8170.1971.5564.4666.8561.0060.2265.0361.9055.7765.9558.1862.2458.0458.8062.3269.4568.1165.2553.6764.3058.89
-1.07-1.47-0.34-1.570.13-1.5714.20-1.47-0.74-4.62-1.880.791.694.886.555.616.534.011.961.485.59-0.3310.990.702.860.61-7.030.921.820.54-0.21-1.97-12.03-3.552.400.643.080.53-1.012.564.583.373.954.212.943.714.92-6.372.776.708.688.022.761.483.102.844.784.004.10
--7.96-1.80-9.980.57-5.9757.54-10.85-6.74-56.05-18.216.0014.6440.00119-97.89-33.0525.9219.8537.81-140.912.3624.662.039.302.57-33.073.518.522.75-1.09-16.65-154.31-27.894.121.195.641.06-2.105.009.868.568.9211.309.694.606.18-8.303.637.169.288.673.021.623.372.864.804.034.12
-0.58-0.80-0.18-0.850.07-0.837.37-0.71-0.35-2.18-0.900.380.812.292.902.412.712.260.850.632.77-0.165.310.341.360.28-3.280.460.850.25-0.10-0.95-5.73-1.791.410.351.750.30-0.551.412.411.712.062.081.402.603.38-4.482.115.116.556.062.041.082.272.193.612.883.05
--0.92-0.21-0.980.08-0.958.56-0.82-0.41-2.56-1.060.450.972.813.703.033.392.881.400.763.34-0.206.400.421.690.35-4.100.561.100.33-0.13-1.20-7.31-2.241.890.502.400.41-0.772.013.542.553.063.202.203.714.92-6.372.776.678.647.982.751.473.082.834.753.974.07
-35.8336.1035.7035.1236.6437.0731.2931.0630.7432.2433.4432.8533.1431.9629.2426.9225.5327.3726.5125.4224.3724.0120.9620.3919.8419.7121.0920.5220.5720.6920.1219.9822.1121.3720.3820.9720.0520.0221.7420.8419.5621.1320.3319.4919.4819.0217.4717.8716.0515.6814.0212.5612.4212.0611.9511.0710.1110.16
-0.783.612.170.29-0.293.421.802.161.178.255.943.201.9311.377.584.441.448.335.482.130.196.374.813.491.414.463.171.810.134.243.973.031.194.292.951.460.006.773.782.830.325.254.481.161.543.552.552.380.832.992.041.350.872.942.271.770.922.53
-0.462.961.68-0.06-0.522.571.141.721.007.405.212.821.7811.988.294.121.327.785.082.740.089.894.473.251.263.772.661.49-0.063.243.182.450.853.412.210.89-0.166.023.262.430.063.913.420.261.042.501.651.900.541.941.160.720.402.642.041.600.812.20