Container Store Financial Ratios for Analysis 2010-2024 | TCS

Fifteen years of historical annual and quarterly financial ratios and margins for Container Store (TCS).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202420232022202120202019201820172016201620152014201320122012201120112010
1.191.211.110.951.221.161.221.44-1.261.321.221.252.311.511.51--
0.520.380.270.320.540.490.530.58-0.600.620.620.54-0.560.56--
1.110.640.380.471.231.011.151.43-1.561.661.781.284.821.341.26--
57.6557.3858.1557.6258.2458.5157.9858.0658.3458.3458.5958.7558.81-57.96-58.6358.63
-12.35-12.1811.4710.004.675.733.985.013.133.136.014.153.42--1.05--2.62-2.62
-12.35-12.1811.4710.004.675.733.985.013.133.136.014.153.42--1.05--2.62-2.62
-7.12-8.4714.6013.518.889.798.409.537.447.449.978.207.60-3.29-1.66-2.62
-14.79-13.7310.308.172.312.450.782.971.011.013.821.15-0.65--5.06--7.19-7.19
-12.18-15.177.475.891.582.422.271.820.650.652.90-6.89-12.80--17.24--20.18-7.92
0.911.060.910.920.791.201.141.08-1.051.020.960.94-0.85---
2.272.622.383.213.083.423.703.33-3.833.873.613.53-3.77---
31.2539.1834.2934.0931.1133.6933.5629.82-27.4030.0523.1327.68-30.50---
11.689.3210.6510.7111.7310.8410.8812.24-13.3212.1515.7813.19-11.97---
-64.68-60.5919.0916.485.338.197.816.74-2.4811.234.14-0.06-17,414.94-13.16167--
-780.00-909.83-453.96-75.87-9.41-13.28-10.59-7.20--2.29-9.84-3.290.06-2,754.9213.59-160.48--
-11.03-16.126.825.401.242.902.591.96-0.682.951.04-0.02-82.36-4.11-50.07--
-30.90-37.3313.9311.262.464.173.692.80-0.984.291.56-0.03-17,384.57-5.84-71.14--
48.2679.9212910984.3182.4377.5769.21-64.6963.0761.671,195-7,006---
14.1817.9516.9941.219.3417.0019.3613.9413.2213.2219.9742.252350.002160.001,4650.00
2.15-1.487.0636.05-0.956.8510.785.04-1.23-1.235.202.45-15.65-6.51-920-

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312016-02-292015-12-312015-11-302015-09-302015-08-312015-06-302015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-06-302013-05-312013-03-312013-02-282012-12-312012-11-302012-09-302012-08-312012-03-312011-03-31
1.291.311.191.211.141.251.211.261.151.181.111.211.121.030.950.951.021.161.221.050.880.911.161.371.231.241.221.341.261.391.441.481.361.30--1.541.421.401.411.391.28-1.421.291.18-1.301.131.501.18--1.501.220.99---
0.630.600.520.440.430.420.380.280.260.290.270.330.290.310.320.370.450.530.540.530.510.510.490.540.540.550.530.550.570.590.580.610.610.61--0.630.640.630.630.630.63-0.640.640.63-0.660.72-0.73---0.56----
1.751.491.110.820.770.740.640.420.390.430.380.490.420.450.470.590.851.171.231.141.101.111.011.211.211.271.151.251.391.481.431.601.581.64--1.721.861.751.811.801.77-1.851.871.89-2.082.81-124.452.92--17.661.3915.75---
55.4758.3459.3758.2757.6555.3158.9156.8756.6457.1556.9656.9959.2659.6559.3357.8958.8451.5859.0458.7657.8657.1858.5758.6858.1758.6158.6558.5557.8656.6057.6058.0957.7259.0057.87-58.9358.8657.8658.2358.5558.49-59.6458.8258.15-59.9858.44-58.38---59.35----
-7.36-7.56-37.290.17-8.11-5.05-69.784.249.186.8312.108.3014.4110.8116.2111.9213.60-12.279.584.124.39-0.0911.115.146.29-1.198.746.233.61-4.397.775.815.010.587.94-4.770.914.854.45-2.93-2.38-7.216.63-0.69--0.466.22--0.10---5.86----
-7.36-7.56-37.290.17-8.11-5.05-69.784.249.186.8312.108.3014.4110.8116.2111.9213.60-12.279.584.124.39-0.0911.115.146.29-1.198.746.233.61-4.397.775.815.010.587.94-4.770.914.854.45-2.93-2.38-7.216.63-0.69--0.466.22--0.10---5.86----
-----------------------------------------------------------
-10.43-10.57-39.87-2.22-10.50-7.45-71.622.507.795.6011.067.1013.269.5115.0310.1111.79-15.547.381.882.11-2.818.752.432.08-5.235.472.96-0.16-6.705.853.902.96-1.746.13-2.79-1.232.782.28-5.39-4.83-4.974.36-3.18--3.603.22--4.27---2.94----
-8.19-8.10-29.78-2.99-10.76-5.72-72.871.655.783.997.585.129.857.2011.157.148.14-10.995.191.051.54-1.966.274.211.44-3.45-0.1712.73-0.40-4.193.792.351.73-1.164.05-1.84-0.881.631.37-3.41-3.06-3.273.60-2.06--13.32-9.66--16.97----8.89----
0.200.190.220.220.230.210.260.210.220.210.260.220.250.230.290.250.220.140.210.200.210.190.340.290.300.260.310.280.280.240.290.280.260.23--0.270.250.260.250.220.22-0.240.250.22-0.240.24-0.21---0.23----
0.570.480.530.550.540.540.630.570.620.590.680.580.650.680.980.830.870.670.800.680.750.740.970.790.850.780.990.840.840.760.910.830.770.70--0.860.740.770.770.640.68-0.740.830.77-0.720.84-0.73---0.74----
6.606.697.607.488.479.079.727.859.118.409.577.958.668.3510.848.648.525.278.207.468.267.249.537.347.807.639.117.197.936.508.046.907.356.88--7.447.647.987.217.527.44-7.016.445.81-6.276.72-6.91---7.20----
13.6413.4511.8512.0310.639.929.2611.479.8810.729.4011.3210.4010.788.3110.4210.5717.0610.9812.0610.9012.439.4512.2611.5511.799.8812.5111.3513.8411.1913.0412.2413.09--12.0911.7811.2812.4811.9712.10-12.8413.9715.50-14.3613.38-13.02---12.51----
-12.13-10.12-38.43-2.86-10.54-4.75-72.180.933.542.425.413.376.894.789.926.106.98-6.344.610.901.41-1.576.003.711.35-2.87-0.1611.28-0.39-3.493.782.411.68-1.00--1.91-0.881.661.34-2.92-2.65-3.183.56-1.87--5.352.943,197-3.53--7152.99----
1081,487-463.42-247.25-487.19-206.33-1,083.9157.06339-114.09-128.65-33.62-76.45-28.65-45.67-17.81-14.4210.11-8.14-1.51-2.192.46-9.73-5.23-1.723.490.22-15.630.423.62-4.03-2.34-1.600.91---1.730.74-1.45-1.152.472.21--2.59-2.841.43-3.56-1.35-52.351.56--80.58-3.00----
-1.66-1.54-6.55-0.67-2.44-1.20-19.210.341.300.861.931.142.421.633.251.771.82-1.501.070.210.32-0.372.121.210.43-0.90-0.053.62-0.11-1.001.100.650.46-0.27--0.50-0.220.430.34-0.74-0.68-0.790.88-0.46--1.220.54-1.02-0.64--1.420.89----
-4.44-4.09-18.36-1.59-6.02-2.74-44.470.662.611.733.952.274.873.316.783.853.84-2.982.130.430.69-0.773.061.700.62-1.28-0.085.10-0.17-1.431.570.940.66-0.39--0.71-0.320.620.49-1.07-0.98-1.151.29-0.68--1.820.823,284-0.95--7121.31----
39.8943.8648.2967.9967.8875.6179.9213713313012912311911210999.5589.3081.3284.3183.2180.4981.1182.4378.3075.0573.4777.5778.4969.5268.6169.2166.0265.7464.52--64.0661.4162.9162.4361.8861.28-61.3561.1159.91-55.46714-695---1,175----
1.42-2.4514.188.066.28-0.9117.955.727.980.9516.994.656.721.1141.2135.3328.027.949.34-0.351.78-2.5917.005.522.51-1.0319.3612.267.16-1.4913.947.454.19-0.2113.220.006.89-1.18-0.51-3.37-5.13-4.250.004.853.45-2.430.008.8547.780.00-37.230.000.000.0036.320.000.000.000.00
-3.16-5.032.15-2.03-0.41-3.62-1.48-8.39-1.56-4.317.06-2.512.37-1.1436.0531.8225.926.73-0.95-9.43-4.88-5.296.85-0.80-0.78-2.4210.786.013.07-3.115.040.90-0.56-2.71-1.23--3.13-12.50-7.78-11.37-8.88-8.36--7.36-6.09-6.62--17.88-68.21--83.61----151.95----