SPGNEUTRAL

Current Ratio

0.41x

Updated 8h ago

Sector Performance

5th percentile

SPG

0.41x

Sector Median

1.20x

Sector Avg

2.57x

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Deep Analysis

The current ratio of 0.41x measures how many dollars of current assets SPG holds for every dollar of current liabilities – a value below 1.0x indicates the company may struggle to cover its short-term obligations.

Compared to sector peers, SPG’s ratio sits far below the sector median of 1.20x and places it in the 5th percentile, meaning 95% of peers have a higher, healthier level of liquidity. Trend data is not available: both the year-over-year change and quarter-over-quarter change are marked N/A, so no directional insight can be drawn from historical movement. The combination of a very low current ratio and no observable trend signals a potential liquidity risk, but without a trend it is impossible to assess whether conditions are improving or worsening. This metric directly contradicts the overall NEUTRAL verdict, as a current ratio of 0.41x typically points to a material short-term financial weakness that would warrant caution.

Frequently Asked Questions

What does the Current Ratio tell investors about SPG?

Measures short-term financial health. A ratio above 1.5 is generally healthy; below 1.0 may indicate liquidity stress.

How is the Current Ratio calculated?

Current Ratio is calculated as: Current Assets / Current Liabilities.

Who are SPG's closest peers by Current Ratio?

The closest peers by Current Ratio include: KEY (0.42x), CHTR (0.40x), USB (0.40x), GEN (0.40x), DRI (0.39x).

The Formula

Current Assets / Current Liabilities

Why It Matters

Measures short-term financial health. A ratio above 1.5 is generally healthy; below 1.0 may indicate liquidity stress.

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SPG

0.41x

Sector Median

1.20x

Sector Avg

2.57x

How SPG's Current Ratio compares to sector peers.

Not financial advice. Research tool only. Data may be delayed.