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syf
Synchrony Financial
NYSE: SYF
-1.55 (-2.38%)
63.655
USD
At close at Mar 12, 14:39 UTC
Summary
News
Signals
Benchmarks
Financials

Benchmarks

PE Ratio
SYF has a PE Ratio of 8.1%, while the Information Technology Industry's PE Ratio is 12.4%. A lower PE Ratio is usually seen as better.
Low
High
💻
8.1%
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EPS Growth 3Y
SYF has a EPS Growth 3Y of 5.6%, while the Information Technology Industry's EPS Growth 3Y is 2.0%. A lower EPS Growth 3Y is usually seen as better.
Low
High
💻
5.6%
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Payout Ratio TTM
SYF has a Payout Ratio TTM of 14.9%, while the Information Technology Industry's Payout Ratio TTM is 42.4%. A lower Payout Ratio TTM is usually seen as better.
Low
High
💻
14.9%
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ROE (Return on Equity)
SYF has a ROE (Return on Equity) of 21.1%, while the Information Technology Industry's ROE (Return on Equity) is 8.5%. A lower ROE (Return on Equity) is usually seen as better.
Low
High
💻
21.1%
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Current Ratio Annual
SYF has a Current Ratio Annual of 0.0%, while the Information Technology Industry's Current Ratio Annual is 1.0%. A lower Current Ratio Annual is usually seen as better.
Low
High
💻
0.0%
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Quick Ratio Annual
SYF has a Quick Ratio Annual of 0.0%, while the Information Technology Industry's Quick Ratio Annual is 0.9%. A lower Quick Ratio Annual is usually seen as better.
Low
High
💻
0.0%
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ROA (Return on Assets)
SYF has a ROA (Return on Assets) of 2.9%, while the Information Technology Industry's ROA (Return on Assets) is 1.0%. A lower ROA (Return on Assets) is usually seen as better.
Low
High
💻
2.9%
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Asset Turnover TTM
SYF has a Asset Turnover TTM of 0.0%, while the Information Technology Industry's Asset Turnover TTM is 0.2%. A lower Asset Turnover TTM is usually seen as better.
Low
High
💻
0.0%
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Net Interest Coverage Annual
SYF has a Net Interest Coverage Annual of 0.0%, while the Information Technology Industry's Net Interest Coverage Annual is 1.6%. A lower Net Interest Coverage Annual is usually seen as better.
Low
High
💻
0.0%
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Net Profit Margin Annual
SYF has a Net Profit Margin Annual of 18.8%, while the Information Technology Industry's Net Profit Margin Annual is 18.3%. A lower Net Profit Margin Annual is usually seen as better.
Low
High
💻
18.8%
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PB (Price-to-Book) Annual
SYF has a PB (Price-to-Book) Annual of 1.5%, while the Information Technology Industry's PB (Price-to-Book) Annual is 1.1%. A lower PB (Price-to-Book) Annual is usually seen as better.
Low
High
💻
1.5%
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ROI (Return on Investment) Annual
SYF has a ROI (Return on Investment) Annual of 10.9%, while the Information Technology Industry's ROI (Return on Investment) Annual is 5.1%. A lower ROI (Return on Investment) Annual is usually seen as better.
Low
High
💻
10.9%
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Inventory Turnover Annual
SYF has a Inventory Turnover Annual of 0.0%, while the Information Technology Industry's Inventory Turnover Annual is 6.4%. A lower Inventory Turnover Annual is usually seen as better.
Low
High
💻
0.0%
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Long Term Debt/Equity Annual
SYF has a Long Term Debt/Equity Annual of 0.9%, while the Information Technology Industry's Long Term Debt/Equity Annual is 0.3%. A lower Long Term Debt/Equity Annual is usually seen as better.
Low
High
💻
0.9%
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Total Debt/Total Equity Annual
SYF has a Total Debt/Total Equity Annual of 0.9%, while the Information Technology Industry's Total Debt/Total Equity Annual is 0.3%. A lower Total Debt/Total Equity Annual is usually seen as better.
Low
High
💻
0.9%
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