Saratoga Investment Debt-to-Assets Ratio Growth & History (SAR)

Saratoga Investment's debt-to-assets ratio was 0.65 for fiscal 2026.

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Saratoga Investment annual debt-to-assets ratio history

Saratoga Investment annual debt-to-assets ratio

Fiscal yearPeriod endedDebt-to-assets ratioChangeGrowth
20262026-02-280.65−0.02−2.59%
2025 · Feb 282025-02-280.670.67+5017283.93%
20242024-02-290.00−0.02−99.93%
20232023-02-280.020.00+5.40%
20222022-02-280.02

Saratoga Investment debt-to-assets ratio trends

Between the periods ended 2022-02-28 and 2026-02-28, Saratoga Investment's debt-to-assets ratio increased from 0.02 to 0.65, a change of 0.63. The latest reported quarter, Q1 2027, shows 0.68.

About the metric

What the debt-to-assets ratio means

The debt-to-assets ratio shows the portion of a company’s reported assets financed with interest-bearing debt. It is a leverage measure and should not be confused with total liabilities divided by assets.

Calculation and source

How debt-to-assets is calculated

TickerStat calculates debt-to-assets as total interest-bearing debt divided by total assets at the same reporting-period end. Periods with missing debt or non-positive assets are omitted. Fiscal periods can differ from calendar years, so exact period-end dates are included.

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