showing the working

← Star Group L.P.

The business behind the dividend

MeasureSGUMedianFormula
Return on equity24.8%10.6%Net income ÷ shareholders’ equity
Return on capital employed23.6%10.0%Operating income ÷ (equity + total debt)
Owner earnings$95.00m$120.90mNet income + depreciation & amortisation − capital expenditure
Free cash flow$56.03m$155.08mOperating cash flow − capital expenditure
Operating margin6.4%14.3%Operating income ÷ revenue
Net margin4.1%10.1%Net income ÷ revenue
Debt to equity0.63x0.73xTotal debt ÷ shareholders’ equity
Interest cover5.95x4.22xOperating income ÷ interest expense
Current ratio0.59x1.55xCurrent assets ÷ current liabilities
Long-term debt to working capitalLong-term debt ÷ (current assets − current liabilities)
Cash conversion0.97x1.66xOperating cash flow ÷ net income
Accruals0.3%-3.1%(Net income − operating cash flow) ÷ total assets

Not computed here: Long-term debt to working capital — why a blank is not a zero.

Ten years of it

The same measures, for every year the filings support. One year is a fact; a row is a business.

Measure2025202420232022202120202019201820172016Median
Return on equity24.8%13.3%12.1%13.7%31.5%21.9%6.8%17.9%8.8%14.9%13.7%
Return on capital employed23.6%12.9%15.2%14.3%33.5%24.6%9.6%16.2%14.5%22.2%15.2%
Operating margin6.4%3.5%3.2%3.0%8.7%6.3%2.1%3.9%4.2%7.5%3.9%
Net margin4.1%2.0%1.6%1.8%5.9%3.8%1.0%3.3%2.0%3.9%2.0%
Debt to equity0.63x0.79x0.56x0.64x0.40x0.48x0.50x0.32x0.25x0.30x0.48x
Current ratio0.59x0.75x0.70x0.76x0.64x0.66x0.70x0.91x0.89x1.02x0.70x
Cash conversion0.97x3.15x3.87x0.96x0.79x3.14x5.52x1.04x0.78x2.27x1.04x

How it compares in consumer discretionary

Among the 169 consumer discretionary companies here measured on free cash flow, Star Group L.P. pays out less than 59 of them. The median for that group is 33.1%, against this company’s 46.6%.

Closest on free cash flow

Same sector and same denominator, so the figures are comparable. All 197 in consumer discretionary →