SPAR Group Debt-to-Equity Ratio Growth & History (SGRP)

SPAR Group's debt-to-equity ratio was 43.03 for fiscal 2025.

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SPAR Group annual debt-to-equity ratio history

SPAR Group annual debt-to-equity ratio

Fiscal yearPeriod endedDebt-to-equity ratioChangeGrowth
20252025-12-3143.0342.27+5573.85%
20242024-12-310.760.06+8.27%
20232023-12-310.70−0.21−22.71%
20222022-12-310.910.22+32.37%
20212021-12-310.680.09+14.69%
20202020-12-310.60−0.20−25.45%
20192019-12-310.800.05+6.81%
20182018-12-310.750.40+112.11%
20172017-12-310.35−0.14−28.89%
20162016-12-310.500.17+49.79%
20152015-12-310.33−0.02−4.42%
20142014-12-310.350.33+2715.77%
20132013-12-310.01−0.00−11.05%
20122012-12-310.01−0.05−77.71%
20112011-12-310.06

SPAR Group debt-to-equity ratio trends

Over the last five fiscal years, SPAR Group's debt-to-equity ratio increased from 0.60 to 43.03, a change of 42.43. The latest reported quarter, Q2 2026, shows 2.64.

About the metric

What the debt-to-equity ratio means

The debt-to-equity ratio compares interest-bearing debt with shareholders’ equity. It helps show how much debt financing a company uses relative to its accounting equity, but useful comparison levels vary by industry.

Calculation and source

How debt-to-equity is calculated

TickerStat calculates debt-to-equity as total interest-bearing debt divided by SEC-reported shareholders’ equity for the same balance-sheet date. Total liabilities are not treated as debt, and periods with non-positive equity are omitted. Fiscal periods can differ from calendar years, so exact period-end dates are included.

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