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Synchrony Financial

Ticker: SYF ISIN: US87165B1035
Add to portfolio Portfolio analysis in 2min
Stock Large-cap Dividend payer High beta Trading above 200-day average Near 52-week high
Market cap
$26.00B
P/E
8.67
Forward P/E
9.97
Profit margin
35.14%
Revenue growth QoQ
11.60%
Div. yield
1.50%
Beta
1.59
$80.02 0.69%
Price as of 2026-08-24 · NYSE

Performance by timeframe

Rolling returns
1 Month +6.71%
6 Months +14.02%
1 Year +9.94%
5 Years +12.00% p.a.+76.15%
10 Years +14.05% p.a.+271.95%
Since inception +13.10% p.a.+341.45%
Calendar year returns
YTD -2.89%
2025 +30.64%
2024 +74.01%
2023 +19.76%
2022 -27.43%
2021 +36.40%

Key stats

Market cap
26.00B
P/E
8.67
Dividend yield
1.50%
Beta
1.59
52-week range
34.52 - 69.39
50-day MA
63.82
200-day MA
50.76
Section 1

Business overview

Company profile data from fundamentals.

Synchrony Financial, together with its subsidiaries, operates as a consumer financial services company in the United States. It provides credit products, such as credit cards, commercial credit products, and consumer installment loans. The company also offers private label credit cards, dual co-brand and general purpose credit cards, short- and long-term installment loans, and consumer banking products; and deposit products, including certificates of deposit, individual retirement accounts, money market accounts, and savings accounts, and sweep and affinity deposits, as well as accepts deposits through third-party securities brokerage firms. In addition, it provides debt cancellation products to its credit card customers through online, mobile, and direct mail; and healthcare payments and financing solutions under the CareCredit and Walgreens brands; payments and financing solutions in the apparel, specialty retail, outdoor, music, and luxury industries, such as American Eagle, Dick's Sporting Goods, Guitar Center, Kawasaki, Pandora, Polaris, Suzuki, and Sweetwater. The company offers its credit products through programs established with a group of national and regional retailers, local merchants, manufacturers, buying groups, industry associations, and healthcare service providers; and deposit products through various channels, such as digital and print. It serves digital, health and wellness, retail, home, auto, telecommunications, jewelry, pets, and other industries. The company was founded in 1932 and is headquartered in Stamford, Connecticut.

Sector Financial Services
Industry Credit Services
Country United States
Exchange NYSE
Section 2

Financial quality

Above-average volatility

Profitability and balance-sheet quality indicators from reported fundamentals.

Profitability

ROE 21.28%
ROA 2.73%
Profit margin 35.14%
Operating margin 46.37%
PEG ratio 1.78
Revenue/share TTM 22.41
Revenue TTM 9.01B
Gross profit TTM 8.30B
Beta 1.59

Valuation

Trailing P/E 8.67
Forward P/E 9.97
P/B 1.76
P/S 2.89
EV/EBITDA 0.00
EV/Revenue 2.68

ESG Scores

Total ESG 19.4
Environment 2.1
Social 15.1
Governance 9.6
Section 3

Earnings

Earnings metrics from company highlights and earnings datasets.

EPS estimate (current year) 6.57
Quarterly earnings growth 31.10%
Revenue TTM 9.01B
Reported quarters 45
Section 4

Dividends & corporate actions

Dividend and split fields from fundamentals.

Dividend yield 1.50%
Forward annual div. yield 1.50%
Dividend per share 1.0000
Payout ratio 13.05%
Ex-dividend date 2024-11-04
Last split date 0000-00-00
Section 5

Ownership / analyst view

Institutional ownership and analyst estimate fields when available.

Analyst

Analyst target price $71.01
Analyst rating 4.1364

Ownership & short interest

Shares outstanding 389.34M
Shares float 385.93M
Institutional ownership 101.69%
Insider ownership 53.10%
Short ratio 3.43
Short % of float 4.71%

Details

Instrument metadata and source update timestamps.

Symbol SYF
Name Synchrony Financial
Asset type STOCK
Exchange NYSE
Currency USD
ISIN US87165B1035
Country USA
Code + exchange SYF.NYSE
Last price date 2025-01-10
Fundamentals updated 2025-01-04

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