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SNYR logoSynergy CHC Corp.(SNYR)Earnings, Financials & Key Ratios

SNYR•NASDAQ
$0.40
$4M mkt cap·1.4× P/E·Price updated May 7, 2026
SectorHealthcareIndustryMedical DistributionSub-IndustryDrug Wholesalers and Distributors
AboutSynergy CHC Corp. provides consumer health care, beauty, and lifestyle products in the United States, Canada, and the United Kingdom. It offers brain health nutritional supplements under the FOCUSfactor brand name; lifestyle products and accessories, including tea, shakes, lollipops, supplements, apparel, and exercise accessories under the Flat Tummy brand name; anti-aging skincare products, such as serums and creams for exfoliating, skin repair, and rehydration, as well as hand soaps and hand sanitizers under the Hand MD brand name. The company sells its products through retailers and television advertising campaigns, as well as skincare products through online. The company was formerly known as Synergy Strips Corp. and changed its name to Synergy CHC Corp. in August 2015. Synergy CHC Corp. was incorporated in 2010 and is based in Westbrook, Maine.Show more
  • Revenue$35M-18.6%
  • EBITDA$6M-45.3%
  • Net Income$2M-66.5%
  • EPS (Diluted)0.28+297.2%
  • Gross Margin67.87%-9.5%
  • EBITDA Margin17.04%-32.8%
  • Operating Margin16.65%-34.1%
  • Net Margin6.1%-58.8%
  • ROIC88.11%
  • Interest Coverage1.41-44.6%
Technical→

SNYR Key Insights

Synergy CHC Corp. (SNYR) fundamental analysis — strengths, weaknesses & financial health based on data analysis

✓Strengths

  • ✓Share count reduced 91.5% through buybacks
  • ✓Efficient asset utilization: 2.1x turnover

✗Weaknesses

  • ✗Negative free cash flow
  • ✗Weak momentum: RS Rating 1 (bottom 1%)
  • ✗Trading more than 30% below 52-week high

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

SNYR Price & Volume

Synergy CHC Corp. (SNYR) stock price & volume — 10-year historical chart

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SNYR Growth Metrics

Synergy CHC Corp. (SNYR) revenue, earnings & EPS growth — 3, 5 & 10-year CAGR

Revenue CAGR

10 Years-
5 Years0.59%
3 Years-4.68%
TTM-8.45%

Profit CAGR

10 Years-
5 Years-
3 Years14.62%
TTM-44.03%

EPS CAGR

10 Years-
5 Years-
3 Years161.27%
TTM0.03%

Return on Capital

10 Years-9.54%
5 Years-27.36%
3 Years88.11%
Last Year88.11%

SNYR Peer Comparison

Synergy CHC Corp. (SNYR) competitors in Drug Wholesalers and Distributors — business model, growth, and fundamentals comparison

Select Columns
Stock Universe
Valuation
Growth
Profitability
Financial Health
Dividends & Buybacks
Price Performance
Technical
Fundamentals ($)
Sector-Specific
CompanyMarket CapStock PriceP/E Ratio (TTM)Revenue Growth 1YNet MarginReturn on Equity (ROE)FCF YieldDebt / Equity
PRGO logoPRGOPerrigo Company plcDirect Competitor1.61B11.72-1.14-2.75%-43.5%-50.65%1.35
HIMS logoHIMSHims & Hers Health, Inc.Direct Competitor6.63B25.6750.3259%5.47%23.73%2.07
NTRP logoNTRPNextTrip, Inc.Direct Competitor19.37M2.64-1.189.3%-6.99%-231.71%0.08
CLAR logoCLARClarus CorporationDirect Competitor110.98M2.89-2.39-4.65%-17.59%-21.22%0.06
CHD logoCHDChurch & Dwight Co., Inc.Product Competitor22.24B93.8931.091.57%11.81%17.45%0.55
PBH logoPBHPrestige Consumer Healthcare Inc.Product Competitor2.58B54.5912.721.1%16.9%10.19%0.57
NATR logoNATRNature's Sunshine Products, Inc.Product Competitor429.81M24.5523.165.67%4.06%12.08%0.12
CVS logoCVSCVS Health CorporationSupply Chain111.4B87.3162.817.85%0.72%3.86%1.24

Compare SNYR vs Peers

Synergy CHC Corp. (SNYR) vs competitors — business, growth, and fundamentals comparison against the closest industry rivals.

Closest Rival

vs PRGO

Most directly comparable listed peer for SNYR.

Scale Benchmark

vs AMZN

Larger-name benchmark to compare SNYR against a more recognizable public peer.

Peer Set

Compare Top 5

vs PRGO, HIMS, NTRP, CLAR

SNYR Income Statement

Synergy CHC Corp. (SNYR) annual income statement — 10-year revenue, gross profit & net income history

10Y historyFree accessUpdated daily
Line itemDec'15Dec'16Dec'17Dec'18Dec'19Dec'20Dec'22Dec'23Dec'24TTM
Sales/Revenue13.46M34.84M35.6M33.82M29.36M40.23M38.41M42.78M34.83M34.59M
Revenue Growth %146835.76%158.91%2.17%-4.98%-13.21%37.02%-4.51%11.37%-18.57%-8.45%
Cost of Goods Sold5.31M10.21M9.82M12.47M9.14M14.68M25.45M10.7M11.19M10.03M
COGS % of Revenue39.45%29.29%27.58%36.88%31.13%36.49%66.27%25.01%32.13%-
Gross Profit
8.15M▲ 0%
24.64M▲ 202.3%
25.78M▲ 4.6%
21.35M▼ 17.2%
20.22M▼ 5.3%
25.55M▲ 26.3%
12.96M▼ 49.3%
32.08M▲ 147.6%
23.64M▼ 26.3%
24.55M▲ 0%
Gross Margin %60.55%70.71%72.42%63.12%68.87%63.51%33.73%74.99%67.87%70.99%
Gross Profit Growth %229946.5%202.34%4.64%-17.17%-5.29%26.35%-49.28%147.58%-26.3%-
Operating Expenses7.66M19.52M23.96M25.34M28.18M22.46M37.92M21.27M17.84M18.34M
OpEx % of Revenue56.94%56.04%67.3%74.93%95.98%55.84%98.73%49.73%51.22%-
Selling, General & Admin7.05M18.35M22.46M23.52M16.97M22.46M37.92M21.24M17.71M18.24M
SG&A % of Revenue52.42%52.68%63.1%69.54%57.79%55.84%98.73%49.65%50.84%-
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses608K1.17M212.76K27.79K11.21M0033.33K133.33K100K
Operating Income
486.02K▲ 0%
2.93M▲ 503.6%
1.82M▼ 37.9%
-4.92M▼ 369.9%
-7.96M▼ 61.8%
3.09M▲ 138.8%
-24.97M▼ 909.2%
10.81M▲ 143.3%
5.8M▼ 46.3%
6.21M▲ 0%
Operating Margin %3.61%8.42%5.12%-14.54%-27.1%7.67%-65%25.26%16.65%17.95%
Operating Income Growth %150.73%503.59%-37.88%-369.86%-61.78%138.78%-909.21%143.29%-46.32%-
EBITDA1.09M4.1M3.32M-3.1M-6.74M3.19M-24.63M10.84M5.93M6.34M
EBITDA Margin %8.13%11.78%9.31%-9.15%-22.97%7.92%-64.11%25.34%17.04%18.34%
EBITDA Growth %1103.32%275.16%-19.22%-193.37%-117.86%147.23%-873.07%144.02%-45.25%-29.54%
D&A (Non-Cash Add-back)608K1.17M1.49M1.82M1.21M100.27K340K33.33K133.33K133.33K
EBIT-6.19M3.34M1.86M-5.28M-8.09M2.71M-26.15M10.81M6.33M8.65M
Net Interest Income-957.28K-3.4M-1.27M-1.35M-1.11M-1.3M-6.45M-4.23M-4.1M-5.9M
Interest Income1.46K5.11K202354141045691.62K1.52K15.78K
Interest Expense958.74K1.57M1.04M1.13M1.11M1.3M6.45M4.24M4.11M5.91M
Other Income/Expense-7.63M-4.96M-1.01M-1.49M-1.12M-1.67M-7.63M-4.23M-3.57M-3.47M
Pretax Income
-7.15M▲ 0%
148.2K▲ 102.1%
815.58K▲ 450.3%
-6.41M▼ 885.7%
-9.08M▼ 41.6%
1.41M▲ 115.5%
-32.6M▼ 2410.1%
6.57M▲ 120.2%
2.23M▼ 66.1%
2.74M▲ 0%
Pretax Margin %-53.11%0.43%2.29%-18.95%-30.92%3.51%-84.87%15.37%6.39%7.91%
Income Tax389.94K944.36K316.01K-247.69K131.54K032.17K234.98K102.08K155.35K
Effective Tax Rate %-5.46%637.23%38.75%3.87%-1.45%0%-0.1%3.57%4.58%5.68%
Net Income
-7.54M▲ 0%
-796.16K▲ 89.4%
499.57K▲ 162.7%
-6.16M▼ 1333.2%
-9.21M▼ 49.5%
1.41M▲ 115.3%
-32.63M▼ 2412.4%
6.34M▲ 119.4%
2.12M▼ 66.5%
2.58M▲ 0%
Net Margin %-56.01%-2.29%1.4%-18.21%-31.36%3.51%-84.95%14.82%6.1%7.46%
Net Income Growth %-684.98%89.44%162.75%-1333.2%-49.45%115.33%-2412.42%119.43%-66.48%-44.03%
Net Income (Continuing)-7.54M-796.16K499.57K-6.16M-9.21M1.41M-32.63M6.34M2.12M2.58M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)
-0.11▲ 0%
-0.01▲ 91.1%
0.01▲ 157.1%
-0.07▼ 1325.0%
-0.10▼ 45.8%
0.02▲ 115.7%
-0.36▼ 2393.0%
0.07▲ 119.6%
0.28▲ 297.2%
0.26▲ 0%
EPS Growth %-633.33%91.09%---45.77%115.7%-2392.99%119.58%297.16%0.03%
EPS (Basic)-0.11-0.010.01-0.07-0.100.02-0.360.860.28-
Diluted Shares Outstanding68.85M81.65M89.24M89.86M89.88M89.89M89.89M89.89M7.63M10.11M
Basic Shares Outstanding68.85M81.65M89.24M89.86M89.88M89.89M89.89M7.37M7.59M10.11M
Dividend Payout Ratio----------

SNYR Balance Sheet

Synergy CHC Corp. (SNYR) balance sheet — assets, liabilities & shareholders' equity

Line itemDec'15Dec'16Dec'17Dec'18Dec'19Dec'20Dec'22Dec'23Dec'24TTM
Total Current Assets9.34M7.26M10.41M8.94M5.05M12.59M18.54M11.82M16.06M20.51M
Cash & Short-Term Investments3.64M2.52M1.96M459.74K1.22M1.67M1.93M632.53K687.92K1.11M
Cash Only3.64M2.52M1.96M459.74K1.22M1.67M1.93M632.53K687.92K1.11M
Short-Term Investments0000000000
Accounts Receivable3.98M2.2M4.33M4.84M1.68M6.22M7.91M6.57M11.7M13.4M
Days Sales Outstanding107.952344.4452.2820.8356.4275.1456.03122.55129.89
Inventory686.65K1.1M2.84M2.67M1.86M3.83M7.97M3.73M1.72M2.15M
Days Inventory Outstanding47.2239.44105.6778.1374.3495.2114.26127.1455.9977.96
Other Current Assets607.09K100K139.07K136.18K100K874.92K739.77K100K100K14K
Total Non-Current Assets17.8M13.2M13.62M11.07M143.53K00416.67K283.33K183.33K
Property, Plant & Equipment12.02K257.39K293.2K269.77K135.9K00000
Fixed Asset Turnover1119.78x135.36x121.40x125.38x216.03x-----
Goodwill11.5M7.79M7.79M7.79M000000
Intangible Assets5.92M5.15M5.53M3.01M7.64K00416.67K283.33K183.33K
Long-Term Investments0000000000
Other Non-Current Assets378.85K000000000
Total Assets
27.14M▲ 0%
20.46M▼ 24.6%
24.03M▲ 17.5%
20.01M▼ 16.7%
5.19M▼ 74.1%
12.59M▲ 142.5%
18.54M▲ 47.3%
12.24M▼ 34.0%
16.34M▲ 33.5%
20.69M▲ 0%
Asset Turnover0.50x1.70x1.48x1.69x5.66x3.20x2.07x3.50x2.13x1.91x
Asset Growth %48909.42%-24.61%17.46%-16.74%-74.06%142.5%47.31%-33.99%33.53%208.37%
Total Current Liabilities15.5M12.21M7.14M10.41M10.15M14.74M30.26M14.02M17.18M3.83M
Accounts Payable411.03K401.59K106.39K76.62K26.21K21.72K19.6M002.33M
Days Payables Outstanding28.2614.363.962.241.050.54281.01--21.21
Short-Term Debt3.78M6.64M2.49M2.14M5.47M7.52M1.03M2.09M11.73M0
Deferred Revenue (Current)1.15M36K3.06K49.71K7.89K121.8K014.2K24.25K31.03K
Other Current Liabilities6.69M1.83M94.96K850.63K07.08M9.64M7.56K0899.46K
Current Ratio0.60x0.60x1.46x0.86x0.50x0.85x0.61x0.84x0.93x0.93x
Quick Ratio0.56x0.50x1.06x0.60x0.31x0.59x0.35x0.58x0.83x0.83x
Cash Conversion Cycle126.948.08146.15128.1794.12151.08-91.61--186.64
Total Non-Current Liabilities6.22M1.14M7.46M5.63M246.92K1.53M21.8M25.52M15.79M25.11M
Long-Term Debt5.72M830.25K7.46M5.63M246.92K1.23M21.8M25.52M15.79M25.11M
Capital Lease Obligations0000000000
Deferred Tax Liabilities0000000000
Other Non-Current Liabilities258.9K313.75K000300.77K0000
Total Liabilities21.72M13.35M14.6M16.04M10.39M16.27M52.06M39.55M32.97M28.94M
Total Debt9.87M7.47M9.95M7.77M5.71M8.75M22.83M27.62M27.52M25.11M
Net Debt6.23M4.95M8M7.31M4.49M7.08M20.9M26.99M26.83M24.01M
Debt / Equity1.82x1.05x1.05x1.96x------3.04x
Debt / EBITDA9.02x1.82x3.00x--2.75x-2.55x4.64x3.96x
Net Debt / EBITDA5.69x1.21x2.41x--2.22x-2.49x4.52x4.52x
Interest Coverage0.51x1.87x1.75x-4.34x-7.16x2.38x-3.87x2.55x1.41x1.46x
Total Equity
5.42M▲ 0%
7.11M▲ 31.1%
9.43M▲ 32.7%
3.97M▼ 57.9%
-5.2M▼ 231.0%
-3.68M▲ 29.2%
-33.52M▼ 809.9%
-27.31M▲ 18.5%
-16.63M▲ 39.1%
-8.25M▲ 0%
Equity Growth %4412.79%31.14%32.72%-57.91%-231.04%29.2%-809.85%18.54%39.09%199.66%
Book Value per Share0.080.090.110.04-0.06-0.04-0.37-0.30-2.18-0.82
Total Shareholders' Equity5.42M7.11M9.43M3.97M-5.2M-3.68M-33.52M-27.31M-16.63M-8.25M
Common Stock8178888998998998998997687114
Retained Earnings-8.57M-9.37M-8.87M-15.03M-24.23M-22.82M-52.69M-46.22M-44.1M-41.62M
Treasury Stock0000000-127.5K-127.5K-127.5K
Accumulated OCI-6.17K16.02K-77.99K179.12K11.36K-9.45K22.39K-102.47K-47.78K-35.91K
Minority Interest0000000000

SNYR Cash Flow Statement

Synergy CHC Corp. (SNYR) cash flow — operating, investing & free cash flow history

Line itemDec'15Dec'16Dec'17Dec'18Dec'19Dec'20Dec'22Dec'23Dec'24TTM
Cash from Operations-644.32K6.04M-831.07K1.3M2.95M-1.59M-8.43M421.73K-4.8M-4.8M
Operating CF Margin %-4.79%17.33%-2.33%3.86%10.04%-3.95%-21.95%0.99%-13.79%-
Operating CF Growth %-31.71%1037.21%-113.76%256.98%125.84%-153.91%-430.86%105%-1238.98%-1004.1%
Net Income-7.54M-796.16K499.57K-6.16M-9.21M1.41M-32.63M6.34M2.12M2.58M
Depreciation & Amortization608K1.17M1.49M1.82M1.21M100.27K340K33.33K133.33K133.33K
Stock-Based Compensation551.71K2.2M1.46M441K201.16K00000
Deferred Taxes5.75M4.89M72.6K2.28M9.98M00000
Other Non-Cash Items1.03M-1.16M296.95K351.72K453.11K1.34M17.26M-4.33M-190.29K-292.88K
Working Capital Changes-1.05M-266.53K-4.65M2.57M308.45K-4.44M6.6M-1.62M-6.87M-9.06M
Change in Receivables-1.32M1.73M-2.09M-193.69K2.75M-4.38M1.42M1.34M-4.62M-4.38M
Change in Inventory-19.63K-547.29K-1.45M-884.14K552.16K-2.13M-7.46M3.99M1.88M-360.81K
Change in Payables484.14K-1.49M-1.08M3.6M-3.73M2.71M2.86M-6.49M-2.81M-1.53M
Cash from Investing-4.4M-2.35M-1.95M-198.01K000000
Capital Expenditures-7.83K-302.23K-1.91M-198.01K000000
CapEx % of Revenue0.06%0.87%5.38%0.59%-0%0%---
Acquisitions-3.78M-2.55K6.2K0000000
Investments----------
Other Investing-607.08K-2.04M-32.87K-69000000
Cash from Financing8.68M-4.83M2.31M-2.86M-2.05M1.95M8.96M-2.09M4.8M7.42M
Debt Issued (Net)10.35M-4.83M2.54M-2.86M-2.05M1.95M8.96M-2.09M-3.92M37.54K
Equity Issued (Net)26K0220K000001000K2M
Dividends Paid-1.17M000000000
Share Repurchases0000000000
Other Financing-517.3K0-452.87K0005000328K-4.89M
Net Change in Cash
3.64M▲ 0%
-1.12M▼ 130.9%
-562.03K▲ 50.0%
-1.5M▼ 166.7%
728.6K▲ 148.6%
340.94K▼ 53.2%
860.99K▲ 152.5%
-1.79M▼ 308.4%
55.39K▲ 103.1%
747.11K▲ 0%
Free Cash Flow
-652.15K▲ 0%
5.74M▲ 979.6%
-2.75M▼ 147.9%
1.11M▲ 140.3%
2.95M▲ 166.2%
-1.59M▼ 153.9%
-8.43M▼ 430.9%
421.73K▲ 105.0%
-4.8M▼ 1239.0%
-6.64M▲ 0%
FCF Margin %-4.85%16.46%-7.71%3.27%10.04%-3.95%-21.95%0.99%-13.79%-19.18%
FCF Growth %-33.32%979.61%-147.87%140.3%166.25%-153.91%-430.86%105%-1238.98%-472.32%
FCF per Share-0.010.07-0.030.010.03-0.02-0.090.00-0.63-0.63
FCF Conversion (FCF/Net Income)0.09x-7.58x-1.66x-0.21x-0.32x-1.13x0.26x0.07x-2.26x-2.57x
Interest Paid806.74K0842.25K1.25M939.71K004.17M3.91M896.73K
Taxes Paid12.69K01.19M224.11K38.92K00000

SNYR Key Ratios

Synergy CHC Corp. (SNYR) financial ratios — P/E, ROE, debt and 30+ core market and balance-sheet ratios

Metric201520162017201820192020202220232024TTM
Return on Equity (ROE)-284.72%-12.71%6.04%-91.92%------19.51%
Return on Invested Capital (ROIC)6.27%18.56%9.27%-25.69%-112.93%172.51%--88.11%88.11%
Gross Margin60.55%70.71%72.42%63.12%68.87%63.51%33.73%74.99%67.87%70.99%
Net Margin-56.01%-2.29%1.4%-18.21%-31.36%3.51%-84.95%14.82%6.1%7.46%
Debt / Equity1.82x1.05x1.05x1.96x------3.04x
Interest Coverage0.51x1.87x1.75x-4.34x-7.16x2.38x-3.87x2.55x1.41x1.46x
FCF Conversion0.09x-7.58x-1.66x-0.21x-0.32x-1.13x0.26x0.07x-2.26x-2.57x
Revenue Growth146835.76%158.91%2.17%-4.98%-13.21%37.02%-4.51%11.37%-18.57%-8.45%

SNYR Frequently Asked Questions

Synergy CHC Corp. (SNYR) stock FAQ — growth, dividends, profitability & financials explained

Growth & Financials

Synergy CHC Corp. (SNYR) reported $34.6M in revenue for fiscal year 2024.

Synergy CHC Corp. (SNYR) saw revenue decline by 18.6% over the past year.

Yes, Synergy CHC Corp. (SNYR) is profitable, generating $2.6M in net income for fiscal year 2024 (6.1% net margin).

Dividend & Returns

Synergy CHC Corp. (SNYR) had negative free cash flow of $6.6M in fiscal year 2024, likely due to heavy capital investments.

Explore More SNYR

Synergy CHC Corp. (SNYR) financial analysis — history, returns, DCA and operating performance tools

Total Return Calculator

Historical returns with dividends reinvested

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DCA Calculator

Dollar cost averaging vs lump sum

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Dividend History

Yield, growth, payout safety & DRIP

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Earnings History

EPS trends, net income & profitability

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Price History

Long-term charts & historical price data

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Revenue History

Sales growth patterns & revenue breakdown

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Financial Ratios

30 years of market, efficiency and balance-sheet ratios

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Valuation

DCF intrinsic value, peer multiples & estimates

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