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SFL Corporation

SFL
45
Marine Shipping · Industrials
Price
$12.39
-0.13 (-1.04%)
Market Cap
$1.65B
Winston Score
45
Winston is serious
Mixed quality — meaningful strengths and weaknesses.
Data as of Aug 23, 2026 · filings through Mar 31, 2026
How the score breaks down
Quality
Mixed
Growth
Weak
Cash Flow
Exceptional
Stability
Weak
Valuation
Good
Dividends
Good

Share count falling — buybacks

4.5% over 4y

The company has reduced its share count over this period, returning value to shareholders through buybacks.

Diluted shares outstanding: 139.4M (2021) → 133.1M (2025)

Winston Score History

The full picture

SFL Corporation is a shipping and offshore company that owns a large fleet of vessels it rents out to other businesses. Its fleet includes oil tankers, dry bulk carriers, container ships, and offshore drilling rigs. Customers are typically large energy companies and shipping operators who need vessels for months or years at a time.

SFL makes money by leasing its vessels under long-term contracts, which provides relatively steady rental income. The company operates globally, with vessels working across major shipping routes and energy markets worldwide. Its main competitive advantage is a diversified fleet paired with long-term charters that lock in revenue — but that model also creates risk, because when contracts expire, SFL must re-lease vessels in a market where rates can drop sharply. Rising interest rates and an aging fleet are additional pressures the company faces as it looks to renew and expand its asset base.

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Score breakdown

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Quality

Profit per sale
Gross Margin
30.1%
Modest — 30.1% gross margin
Profit after running costs
Operating Margin
25.7%
Excellent — 25.7% operating margin
Return on the money invested
ROCE
4.9%
Weak — 4.9% return on capital

ROIC between 0% and 5%. They earn a few cents back per dollar invested in the business.

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Growth

Sales growth
Sales YoY
-16.6%
Shrinking sales (-16.6% YoY)
Profit growth
EPS YoY
-41.2%
Earnings shrinking (-41.2% YoY)

Earnings per share down more than 10%. Either a bad year, or a real decline.

How steady the profit is
EPS Consistency
3/8 quarters
Earnings rarely grow — volatile business

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Cash Flow

Profit that turns into cash
Cash Conversion
779%
Turns 779% of profit into real cash
Spare cash per sale
FCF Margin
26.5%
Converts sales into free cash efficiently (26.5%)

Free cash flow margin above 20%. Out of every $100 in sales, more than $20 is real cash they keep.

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Stability

What it owes vs what it owns
Debt / Equity
2.59
Heavy debt load (2.59)
Covers its interest
Interest Cover
1.32x
Dangerous — barely covers interest (1.3x)

Interest coverage between 1 and 3. Profits cover interest, but with little room to spare.

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Valuation

Price vs profit
P/E Ratio (TTM)
51.4x
Expensive — P/E 51.4

P/E over 35. The market is pricing in heavy, sustained growth.

Cheaper or dearer next year
P/E vs Forward
+19.3
GROWING
Earnings expected to grow meaningfully — cheaper on forward P/E (51.4 → 32.1)

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Dividends

Dividend
Dividend Yield
7.10%
Healthy income — 7.10% yield

Yield above 6% — often a flag the market is pricing in a cut.

Dividend record
Dividend Growth
-24.1%
Dividend cut (-24.1% YoY) — warning sign

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