Teradata Financial Ratios for Analysis 2009-2024 | TDC

Fifteen years of historical annual and quarterly financial ratios and margins for Teradata (TDC).

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
0.871.021.071.101.141.421.652.221.821.582.011.902.032.472.12
0.800.680.450.550.670.510.420.360.400.100.120.130.16--
4.652.401.181.502.321.101.160.590.920.270.150.150.19--
60.8360.2261.8755.5050.2947.4147.5051.2150.4354.1454.7255.9554.7456.2054.89
10.156.5712.050.870.531.993.1510.12-7.7118.4119.7621.7619.3121.4419.78
10.156.5712.050.870.531.993.1510.12-7.7118.4119.7621.7619.3121.4419.78
16.4814.0419.8210.248.437.999.5515.63-0.9924.6025.2226.4923.6224.5423.46
6.383.7310.02-1.31-0.681.252.699.52-5.6918.0818.8721.6920.3621.3819.54
3.381.847.677.03-1.051.39-3.115.38-8.4613.4314.0015.7214.9515.5514.86
0.980.890.880.840.920.920.840.961.000.870.870.870.901.031.09
55.2389.2528.1228.1730.4540.6437.7333.3225.5932.9721.7724.9817.5213.0516.40
6.414.935.715.554.773.683.894.244.364.413.753.994.784.824.42
56.9574.0263.9865.8076.5099.1893.7986.1483.6882.7097.2291.4976.3475.7982.65
45.9312.7931.9632.25-7.636.06-10.0312.87-25.2121.5020.3023.5523.6325.3227.91
-23.57-25.00230-12,900.0014.9330.00-27.2421.93-47.8758.9149.4863.3959.9328.9131.71
3.311.636.785.88-0.971.27-2.625.18-8.4711.7212.1813.6713.4915.9916.19
9.144.0717.5614.64-2.532.99-5.858.28-15.1119.3017.9120.4119.7925.3227.91
1.382.554.293.682.364.245.487.436.5011.5411.6610.748.937.075.39
3.663.964.102.391.303.002.583.392.874.313.063.352.982.422.62
3.473.813.831.940.781.681.882.532.013.492.242.492.341.942.11

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.800.750.780.870.830.971.011.021.061.050.871.071.111.151.131.101.081.061.081.141.271.311.421.421.771.791.681.651.611.952.042.222.201.951.731.821.812.081.871.581.951.941.882.012.161.931.931.902.242.002.172.031.881.802.072.472.312.222.142.122.242.041.95
0.800.870.910.800.820.720.710.680.700.710.620.450.470.490.540.550.560.600.600.670.620.590.520.510.460.460.410.420.410.370.350.360.370.390.410.400.370.330.290.100.100.110.110.120.120.130.130.130.130.140.150.160.170.180.19--------
4.698.0311.484.655.222.932.742.402.592.772.241.181.231.271.501.501.581.771.742.321.811.571.191.100.890.870.811.161.010.630.590.590.620.670.840.920.710.510.420.270.140.120.130.150.130.150.150.150.150.160.170.190.210.220.24--------
60.4560.7861.0860.8359.1359.7463.4558.1962.1160.0060.6961.8959.7863.1462.5357.8455.9556.0251.8450.2053.8149.3747.8649.1550.1945.9644.0749.0447.5347.1745.8250.4853.2651.7549.3650.7750.6652.4947.5955.8552.4754.8853.0356.0553.7556.5751.9655.4155.8057.4455.1455.5754.4954.3954.3555.6657.0657.0255.0156.0553.4155.3454.50
12.7315.1410.3210.286.167.1416.602.436.003.2613.7110.536.5214.2616.502.650.221.75-1.38-1.012.182.09-1.073.912.661.84-0.799.581.71-0.19-16.1316.1214.52-7.71-5.5612.71-42.055.1520.7618.4419.6714.1723.0219.8221.9412.9520.2722.1024.0620.7219.7620.2718.9317.9821.3521.6822.5520.0521.3720.7119.9516.35
12.7315.1410.3210.286.167.1416.602.436.003.2613.7110.536.5214.2616.502.650.221.75-1.38-1.012.182.09-1.073.912.661.84-0.799.581.71-0.19-16.1316.1214.52-7.71-5.5612.71-42.055.1520.7618.4419.6714.1723.0219.8221.9412.9520.2722.1024.0620.7219.7620.2718.9317.9821.3521.6822.5520.0521.3720.7119.9516.35
---------------------------------------------------------------
10.6812.616.884.812.975.1912.180.442.40-11.098.844.1312.0214.660.61-2.20-0.66-3.23-2.430.871.05-2.143.231.901.10-1.589.111.14-0.58-0.4114.5416.3014.19-8.26-4.8718.15-39.975.1520.6318.4419.5313.0620.0319.8221.9412.7820.1422.1024.0620.5519.7620.1023.5817.7921.1721.6822.5520.0521.3719.7619.9516.35
7.278.494.30-1.532.743.688.40-1.551.92-0.937.266.953.708.9610.791.02-0.22-9.4138.71-3.852.18-0.21-2.142.553.420.74-1.38-11.822.47-0.78-0.419.278.8810.68-8.44-6.8212.87-42.543.7815.5114.0914.209.3914.5614.7116.1210.0515.1416.0716.8414.8514.5614.4517.7312.8515.5115.3415.7415.6216.9414.8214.7312.26
0.270.270.270.240.250.250.240.220.230.230.260.220.220.220.220.220.210.220.200.240.230.230.200.250.250.250.210.240.230.220.200.260.240.250.220.280.230.230.190.240.220.220.200.250.210.220.190.240.210.230.220.260.240.240.210.290.280.280.270.320.280.280.25
10.887.7711.3113.7722.3820.6724.8623.6312.1510.1212.196.9610.889.0511.507.1414.297.737.467.945.896.914.6910.685.8210.506.5810.636.136.456.659.125.867.815.117.225.756.437.268.847.206.107.026.044.604.164.347.026.988.095.094.904.284.493.503.743.234.393.454.644.304.183.21
1.781.761.501.601.531.741.401.241.651.621.501.411.591.641.341.481.411.350.971.241.401.271.051.001.411.471.121.131.441.441.111.141.301.291.051.241.251.221.001.231.281.231.031.071.221.301.151.111.231.321.231.361.371.401.081.361.191.231.281.281.301.231.02
50.5251.1960.1956.3258.7751.6264.4772.4854.6055.6759.8863.6656.7454.8167.2760.6763.6366.7692.9072.5164.3170.9885.5890.0063.6561.0580.2279.6562.6262.4681.0278.7969.4669.8785.7172.6072.1873.8290.1573.2170.4373.2286.9983.9173.7869.0478.1981.2472.8968.3573.2666.0665.9364.4483.0666.0275.6472.9670.0770.2269.0473.1188.04
25.6049.3337.04-5.199.847.8017.39-2.713.40-1.8015.197.173.729.3412.711.25-0.26-12.4348.14-7.253.05-0.27-2.143.033.210.70-1.09-11.081.81-0.46-0.215.975.267.41-5.79-5.777.83-22.341.526.915.105.163.196.035.116.033.376.305.546.465.556.566.217.555.107.156.927.367.319.236.897.235.54
-11.68-11.56-5.852.66-4.38-9.88-24.845.30-5.332.38-22.7851.5628.3361.11294-500.007.6987.76-373.3314.18-12.992.44-17.5415.0012.242.56-3.15-30.084.36-0.89-0.3610.189.3713.76-11.70-10.9626.44-54.875.5318.9412.4712.217.7114.7012.0415.708.9516.9413.8318.3612.2816.6417.6123.0910.378.177.918.508.2910.497.838.276.38
1.932.281.15-0.370.690.912.01-0.350.44-0.211.901.520.801.962.410.23-0.05-2.057.81-0.920.51-0.05-0.440.640.840.18-0.30-2.900.56-0.17-0.082.402.122.69-1.87-1.942.99-9.690.713.773.113.061.863.623.143.551.963.653.413.843.243.753.504.192.764.514.274.454.255.354.094.123.08
5.116.273.42-1.031.772.185.06-0.861.03-0.525.833.941.974.795.890.57-0.11-5.0219.27-2.401.17-0.11-1.021.501.720.38-0.64-6.461.07-0.29-0.143.843.324.52-3.40-3.464.96-14.961.086.204.584.602.825.324.515.262.925.464.825.554.725.495.146.204.137.156.927.367.319.236.897.235.54
1.300.780.551.381.252.172.262.552.302.162.264.294.224.333.813.683.523.183.222.362.923.223.994.244.744.815.345.485.966.907.367.437.186.676.146.507.448.3810.1811.5412.0211.9811.7211.6611.7410.9710.6610.7411.1110.309.728.938.378.117.557.076.486.015.505.395.345.004.71
1.520.720.273.661.951.541.053.962.772.471.394.103.252.970.982.391.931.290.091.300.820.900.423.002.132.391.522.582.392.421.903.392.992.651.932.872.622.131.504.313.713.022.133.062.692.301.443.352.622.001.122.982.251.650.622.421.561.180.812.622.091.540.95
1.330.620.213.471.831.471.013.812.702.431.383.833.062.870.931.941.571.04-0.020.780.420.650.281.681.331.881.291.881.872.151.762.532.382.291.732.011.951.711.293.493.112.651.932.242.091.911.282.491.981.600.942.341.751.310.461.941.190.920.692.111.741.310.83