Sprouts Farmers Market

SFM

NASDAQ

Capital Allocation

Compound Annual Growth for CAPEX and Cash Flow

Last 10 years

Operating Cash Flow
10.40%
CAPEX
5.81%
FCF
14.31%

Financial Ratios

Return on Invested Capital
15.0%
Return on Equity
35.7%
Return on Assets
10.1%
CAPEX/Revenue
3.0%
CAPEX/OCF
32.9%
Cash to Debt
0.17
Debt to Equity
1.33
Debt to Assets
0.46
Assets to Equity
2.90
Flow Ratio
0.58

Margins

Gross Margin
38.08%
FCF Margin
6.02%
CAPEX Margin
2.96%
R&D Margin
N/A
SG&A Margin
29.42%