Tingyi Cayman Islands Holdings Financial Ratios for Analysis 2009-2023 | TCYMF

Fifteen years of historical annual and quarterly financial ratios and margins for Tingyi Cayman Islands Holdings (TCYMF).

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
202320222021202020192018201720162015201420132012201120102009
0.700.760.861.060.900.880.790.720.680.640.660.700.590.720.78
0.230.330.220.240.180.160.230.220.250.230.140.220.170.070.06
0.801.050.610.550.540.460.650.670.630.640.430.420.470.270.18
30.4229.0930.3933.1731.8830.8629.4131.3031.8630.4630.2529.9026.5428.4334.63
6.435.687.989.989.027.136.355.195.747.164.835.566.398.3810.79
6.435.687.989.989.027.136.355.195.747.164.835.566.398.3810.79
10.729.8212.2214.6414.2812.4412.325.195.747.164.839.6910.478.3814.75
5.945.277.849.668.736.565.754.445.186.776.618.998.4311.1812.30
3.883.345.136.015.374.063.092.112.823.914.526.516.359.179.85
1.511.351.231.101.071.151.091.031.071.111.301.231.351.371.49
12.7610.6211.0413.5012.2515.8217.3616.0919.0418.4015.8713.5118.4915.4415.60
49.5743.0535.9940.2136.2534.7635.5233.9936.6842.9742.0139.5250.7452.3143.96
7.368.4810.149.0810.0710.5010.2810.749.958.498.699.247.196.988.30
20.4218.2919.5618.4916.1311.5610.126.147.2311.8410.4113.0215.6220.1220.07
20.7218.5819.7918.6916.3311.7010.246.197.2811.9210.4813.1215.6220.1220.15
6.625.267.277.436.425.154.172.623.325.274.856.097.229.7511.25
15.6512.1915.2414.0513.309.757.804.785.399.078.9110.1612.9718.7218.91
0.430.440.620.640.590.640.590.620.700.73-----
0.140.120.150.220.200.190.180.210.140.090.220.210.110.220.18
0.050.040.070.170.160.150.150.170.06-0.080.220.06-0.120.220.09

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
2018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.880.960.830.870.790.890.720.750.720.790.690.760.680.770.670.730.64-0.660.750.660.760.710.730.700.810.800.710.590.600.660.760.720.82-0.840.780.87-0.75
0.160.210.200.220.230.180.220.200.220.200.220.240.250.250.230.230.23-0.190.140.140.190.200.200.220.220.250.140.170.060.070.060.070.06-0.050.060.06-0.06
0.460.400.480.530.650.490.620.670.670.620.650.590.630.610.610.620.64-0.480.410.430.380.410.370.420.410.500.410.470.370.330.260.270.25-0.210.180.14-0.26
25.1233.3732.7129.6624.5732.5030.1528.0426.3433.4431.8631.4325.7333.3034.0231.6625.8632.0731.7830.3827.5232.5830.4529.27100.0031.32100.0029.11100.0027.14100.0026.67100.0030.64100.0030.35100.0035.81100.0035.37
-4.5214.067.076.61-2.9012.884.955.70-4.3611.333.036.03-12.4310.018.599.004.369.795.337.96-2.319.103.586.42100.008.65100.008.13100.008.24100.0010.07100.0010.91100.0011.81100.0013.49100.0013.37
-4.5214.067.076.61-2.9012.884.955.70-4.3611.333.036.03-12.4310.018.599.004.369.795.337.96-2.319.103.586.42100.008.65100.008.13100.008.24100.0010.07100.0010.91100.0011.81100.0013.49100.0013.37
----------------------------------------
-6.2613.826.736.14-4.2012.694.305.12-6.2510.952.345.52-13.789.678.208.51-2.999.548.088.81-0.0310.626.387.05100.009.74100.0018.79100.0010.00100.0011.16100.0015.87100.0012.76100.0015.34100.0014.37
-4.038.243.724.74-1.136.291.863.05-2.445.250.562.76-5.835.223.564.61-5.405.403.804.611.225.483.313.960.865.293.3010.293.945.925.036.055.739.705.327.055.419.596.537.89
0.190.350.290.260.200.330.260.230.180.300.240.230.170.290.270.230.19-0.290.310.250.390.330.320.230.370.330.250.260.380.360.350.280.43-0.340.310.44-0.36
2.855.093.454.013.445.333.473.673.015.554.543.983.355.083.864.143.41-3.936.453.215.404.054.11-4.85-2.91-4.50-3.78-5.61-3.65-5.13-3.89
5.798.238.348.576.588.538.019.255.928.457.588.865.928.918.639.437.47-7.895.798.178.869.2310.177.438.2910.168.499.8210.7712.4515.6710.7411.36-11.839.029.58-9.80
15.5410.9410.7910.5013.6710.5511.249.7315.1910.6511.8710.1615.2110.1110.439.5412.05-11.4115.5511.0110.159.758.8512.1110.858.8610.609.178.367.235.748.387.92-7.619.989.39-9.19
-2.857.843.413.07-2.328.391.981.93-2.865.640.481.85-4.624.483.383.16-1.41-2.643.220.664.782.562.890.434.412.635.792.235.064.414.843.328.92-5.122.967.97-5.59
-2.887.943.453.10-2.358.492.001.94-2.885.680.491.86-4.654.513.403.18-1.42-2.663.240.674.812.582.910.434.422.645.802.235.064.414.843.328.92-5.132.978.00-5.62
-1.273.531.421.26-0.963.200.730.78-1.222.400.210.81-2.121.991.481.34-0.63-1.091.430.312.121.101.270.201.961.102.591.032.271.832.111.614.18-2.421.664.24-2.86
-2.406.182.742.40-1.796.881.551.55-2.234.530.381.40-3.453.382.602.43-1.08-2.132.760.573.862.042.300.333.431.974.961.854.734.124.533.098.39-4.872.787.51-5.26
0.640.640.630.650.590.600.530.640.620.700.670.710.700.75--0.73-----------------------
0.190.190.120.150.180.250.100.110.210.260.120.140.140.220.150.180.090.180.180.150.210.280.180.180.210.250.000.120.110.130.000.150.240.230.000.140.180.200.000.09
0.150.170.100.130.150.230.080.100.170.230.090.130.060.150.090.15-0.080.050.180.150.210.280.180.180.060.25-0.12-0.120.13-0.150.240.23-0.140.090.20-0.09