Saratoga Investment (SAZ) Debt Ratio (2022 - 2025)

Historic Debt Ratio for Saratoga Investment (SAZ) over the last 4 years, with Q4 2025 value amounting to 0.06.

  • Saratoga Investment's Debt Ratio changed N/A to 0.06 in Q4 2025 from the same period last year, while for Nov 2025 it was 0.06, marking a year-over-year change of. This contributed to the annual value of 0.04 for FY2025, which is 4995.74% up from last year.
  • Latest data reveals that Saratoga Investment reported Debt Ratio of 0.06 as of Q4 2025.
  • Saratoga Investment's 5-year Debt Ratio high stood at 0.15 for Q2 2025, and its period low was 0.0 during Q2 2022.
  • Its 4-year average for Debt Ratio is 0.04, with a median of 0.03 in 2023.
  • In the last 5 years, Saratoga Investment's Debt Ratio skyrocketed by 7923816.88% in 2023 and then crashed by 252.79% in 2024.
  • Over the past 4 years, Saratoga Investment's Debt Ratio (Quarter) stood at 0.02 in 2022, then grew by 24.14% to 0.03 in 2023, then skyrocketed by 44.69% to 0.04 in 2024, then skyrocketed by 35.31% to 0.06 in 2025.
  • Its Debt Ratio stands at 0.06 for Q4 2025, versus 0.06 for Q3 2025 and 0.15 for Q2 2025.