As of June 21, 2025, Sector 5 Inc (SFIV) reports a ROA (Return on Assets) of -3677.68%.
ROA (Return on Assets) evaluates how effectively a company turns its assets into profits, showcasing resource utilization.
Historical Trend of Sector 5 Inc's ROA (Return on Assets)
Over recent years, Sector 5 Inc's ROA (Return on Assets) has shown a stable trend. The table below summarizes the historical values:
Date | ROA (Return on Assets) |
---|---|
2017-12-31 | -3677.68% |
2016-12-31 | -213.26% |
2015-12-31 | -56516.70% |
2014-12-31 | -196500.00% |
2013-12-31 | -195.69% |
This slight downward trend highlights how Sector 5 Inc manages its efficiency in using assets to generate earnings over time.
Comparing Sector 5 Inc's ROA (Return on Assets) to Peers
To better understand Sector 5 Inc's position, it's useful to compare its ROA (Return on Assets) against industry peers. Below are selected comparisons:
Company | ROA (Return on Assets) |
---|---|
Sector 5 Inc (SFIV) | -3677.68% |
DAVIDsTEA Inc (DTEA) | 99.40% |
Western Capital Resources Inc (WCRS) | 8.87% |
Envela Corp (ELA) | 8.68% |
Best Buy Co Inc (BBY) | 6.27% |
Calloway's Nursery Inc (CLWY) | 5.99% |
Compared to its competitors, Sector 5 Inc's ROA (Return on Assets) is lower than all peers, suggesting potential inefficiency in asset utilization.