Growth Metrics

Sprott (SII) Net Margin (2025 - 2026)

Sprott recorded quarterly Net Margin of 20.44% in Q1 2026, down 25.88% quarter-over-quarter from 27.57% in Q1 2025, and down 714.0% year-over-year from 3.33% in Q1 2025.

Sprott's Net Margin history runs 2 years deep, the most recent figure standing at 20.44% for Q1 2026.

  • In Q1 2026, Net Margin fell 714.0% year-over-year to 20.44%; the TTM figure through Mar 2026 stood at 7.6% (up 97.0% YoY), while the FY2025 annual figure was 23.62%, down 397.0% from the prior year.
  • Net Margin came in at 20.44% for Q1 2026 at Sprott, down from 27.57% in the prior quarter.
  • In the past five years, Net Margin ranged from a high of 27.57% in Q1 2025 to a low of 20.44% in Q1 2026.

Peer Comparison

# Company Market Cap Enterprise Value Gross Profit (Qtr) Net Margin (Qtr)
1 BlackRock 158.51 Bn 148.89 Bn - 34.73%
2 Blackstone 92.68 Bn 91.63 Bn - 34.77%
3 Kkr 84.94 Bn 132.45 Bn - 8.45%
4 Brookfield Asset Management 77.34 Bn 77.68 Bn - 46.11%
5 Apollo Global Management 76.27 Bn 95.00 Bn 5.04 Bn -38.15%
6 State Street 44.42 Bn 18.75 Bn - 18.57%
7 Ameriprise Financial 41.68 Bn 41.55 Bn 4.57 Bn 18.73%
8 Northern Trust 31.21 Bn 31.21 Bn - 37.97%
9 Ares Management 28.85 Bn 32.22 Bn - 8.40%
10 Sprott 151.27 Mn -23.29 Mn - 20.44%

Historic Data

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DateValue
Mar 31, 2026 20.44%
Mar 31, 2025 27.57%