SFL Corp Ltd. (SFL)

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CIK 0001289877 · NYSE · Deep Sea Foreign Transportation of Freight

  • Sector Transportation & Utilities

In fiscal 2025, SFL Corp Ltd. reported revenue of $733.04M, down 18.9% from the prior year. The company ran a net loss, with a net margin of -3.6%. It held $3.64B in total assets against $2.68B in total liabilities.

Key ratios (FY2025)

18.6%
Operating margin
-3.6%
Net margin
-2.8%
Return on equity
-18.9%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$733.04M$904.40M$752.29M$670.39M$513.40M$471.05M$458.85M$418.71M$380.88M$412.95M
Operating Income$136.68M$306.72M$240.18M$275.47M$242.84M-$138.17M$137.78M$117.61M$154.63M$168.09M
Net Income-$26.43M$130.65M$83.94M$202.77M$164.34M-$224.43M$89.18M$73.62M$101.21M$146.41M
EPS (Diluted)$-0.20$1.01$0.66$1.53$1.30$-2.06$0.83$0.69$1.03$1.50
Total Assets$3.64B$4.11B$3.73B$3.86B$3.46B$3.09B$3.89B$3.88B$3.01B$2.94B
Total Liabilities$2.68B$2.98B$2.69B$2.77B$2.48B$2.30B$2.78B$2.70B$1.82B$1.80B
Shareholders' Equity$960.86M$1.13B$1.04B$1.09B$982.33M$795.65M$1.11B$1.18B$1.19B$1.13B
Cash & Equivalents$150.83M$134.55M$165.49M$188.36M$145.62M$215.44M$199.52M$211.39M$153.05M$62.38M
Operating Cash Flow$267.14M$369.86M$343.09M$355.12M$293.60M$276.48M$249.71M$200.97M$177.80M$230.07M
Shares Outstanding133.06M130.00M126.58M137.38M139.38M108.97M107.70M107.61M102.90M108.04M
Dividends Per Share$0.94$1.07$0.97$0.88