SL Green Realty Corp — Earnings Quality Grade F
SLG · Real Estate
Major red flags
Screening Summary
Management Signals
Financial Trends
Revenue & Net Income ($B)
Margins (%)
18-Point Screening
Revenue Quality
DSO 121 days, change -9 days YoY
AR growth 0.6% vs revenue growth 8.4%
Revenue 8.4%, CFFO -36.0%. Cash follows revenue
Expense Quality
No material inventory
Insufficient data
SG&A/Gross Profit = 21.5%, excellent (<30%)
Gross margin 44.1%, change -3.4pp. Stable
Cash Flow Quality
CFFO/NI = -0.94. Below 1.0
FCF $0.1B, FCF/NI = -0.94
Accruals ratio = -1.5%. Low accruals
Cash $0.2B covers only 4% of debt $4.9B
Balance Sheet Health
Goodwill+Intangibles $0.1B = 4% of equity. Manageable
Debt/EBITDA = 11.8x (>4x). Interest coverage = 0.6x (<2x). Financial stress
Other assets 1.5% vs revenue 8.4%. Normal
No write-off data
Acquisition Risk
FCF after acquisitions positive
Goodwill+Intangibles change -22% YoY. Normal
Manipulation Score
M-Score = -2.54 (< -2.22). Unlikely manipulator
Portfolio monitoring
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Beneish M-Score
Altman Z-Score — Not Applicable
SL Green Realty Corp is a financial company. Z-Score is designed for non-financial companies.
Generated from public financial data using forensic accounting frameworks. Not investment advice. Data: Yahoo Finance · 2026-04-25
