Tidewater Financial Ratios for Analysis 2009-2024 | TDW

Fifteen years of historical annual and quarterly financial ratios and margins for Tidewater (TDW).

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
2023202220212020201920182017201720162015201420132012201120102009
1.801.942.172.122.894.32-0.490.541.802.041.912.913.152.863.12
0.380.160.190.170.220.27---0.380.360.280.270.220.100.12
0.710.200.240.230.280.38-1.230.890.620.560.390.380.280.120.13
44.4738.3328.8431.4531.7732.33-38.1840.7742.4443.4443.3541.2139.0545.8650.38
18.044.12-25.61-47.05-17.80-26.44--96.05-7.10-2.4914.0416.5810.6413.2020.5733.47
18.044.12-25.61-47.05-17.80-26.44--96.05-7.10-2.4914.0416.5810.6413.2020.5733.47
35.9822.786.12-16.662.15-12.56--68.2411.5228.2029.6428.4226.5126.5231.7042.54
13.76-0.36-33.36-49.78-23.33-37.76--106.98-14.25-4.4412.0615.6910.4114.0322.9135.34
9.62-3.36-34.76-49.43-29.13-42.19--109.73-16.36-4.369.7712.128.1910.0122.2029.26
0.490.500.340.320.310.22-0.140.200.310.290.300.260.280.350.45
17.5612.9620.9517.1415.199.32-12.1717.3617.5714.1411.3011.6512.6814.3014.16
3.764.144.293.534.423.65-4.884.294.935.694.533.453.873.754.23
96.9888.1885.1010482.6699.90-74.7885.0473.9764.2080.5310694.2397.3386.23
9.21-2.56-18.48-23.89-13.89-15.00--39.37-6.96-2.635.225.883.464.2010.5318.13
9.21-2.56-18.48-23.89-13.89-15.00--39.37-6.96-2.635.846.663.924.8312.1521.24
4.64-1.71-11.83-15.72-8.94-9.40--15.51-3.22-1.372.873.622.152.827.8813.24
5.73-2.14-14.91-19.90-10.90-10.90--39.37-6.96-1.633.354.232.513.299.4715.99
19.8617.1316.9920.2325.4530.96-35.0448.9852.7554.0051.7749.2948.4647.5443.42
1.980.910.370.10-0.820.150.000.635.397.372.114.304.325.136.3510.16
1.670.840.980.68-0.541.08-0.411.482.61-3.39-4.01-1.79-6.090.581.74

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
2.291.901.811.801.731.991.841.941.881.762.462.171.172.182.112.122.702.922.732.894.034.344.324.325.004.714.14-3.364.300.490.500.520.53-1.831.741.70-1.962.132.13-2.372.262.13-1.862.061.99-2.603.112.92-3.291.942.43-2.662.783.09-
0.350.360.370.380.380.170.160.160.170.170.200.190.020.160.160.170.220.230.210.220.280.280.270.270.320.310.31-0.300.07-----0.380.380.38-0.370.350.36-0.360.350.36-0.270.260.26-0.250.250.22-0.220.140.11-0.100.100.12-
0.580.660.690.710.720.200.190.200.200.200.240.240.210.210.210.230.300.320.280.280.400.390.390.380.470.460.45-0.430.081.231.171.000.92-0.610.620.63-0.590.540.56-0.550.550.57-0.370.350.38-0.330.330.28-0.280.160.12-0.120.130.13-
47.2447.7347.4747.1744.6244.8139.6137.7840.7438.3734.8632.1028.9027.9125.6530.6128.2936.5429.9726.8832.2435.6232.0831.3332.5434.9930.23-20.4125.8448.03-37.0232.84--39.4339.29--44.8142.46--45.8240.68--44.1444.01--34.9039.70--36.3240.93--46.4048.45-
20.5523.0325.5020.8518.6018.1212.697.029.941.13-6.91-25.66-23.34-22.41-31.50-27.59-29.12-115.05-15.93-42.13-18.83-3.49-7.88-63.57-25.29-0.13-13.33--40.21-178.42-43.14100.00-108.09-39.38-100.00-6.494.62-100.0021.3117.11-100.0020.8113.00-100.0018.3416.81-100.00-2.1812.36-100.0010.0717.24-100.0024.3717.21-
20.5523.0325.5020.8518.6018.1212.697.029.941.13-6.91-25.66-23.34-22.41-31.50-27.59-29.12-115.05-15.93-42.13-18.83-3.49-7.88-63.57-25.29-0.13-13.33--40.21-178.42-43.14--108.09-39.38---6.494.62--21.3117.11--20.8113.00--18.3416.81---2.1812.36--10.0717.24--24.3717.21-
---------------------------------------------------------------
17.3017.0418.6215.9011.6315.4511.806.365.87-11.25-6.67-39.10-27.62-26.26-40.14-36.91-37.16-105.46-20.36-49.92-23.99-7.95-12.65-74.86-30.15-5.10-39.03--1,026.39-455.33-53.04-231.91-121.11-50.41--11.13-11.99-1.60--57.0420.6014.91-3.3918.9811.85-12.0917.6514.68-13.69-1.7412.53-16.3011.0818.62-24.7125.5119.02-
13.6214.8414.6412.448.7510.515.565.692.81-15.65-11.51-36.07-28.42-32.75-42.29-31.84-43.86-108.09-15.85-50.39-36.91-12.68-17.79-82.11-31.15-10.36-42.81--1,029.43-455.61-59.01-230.37-124.19-53.06--8.94-16.12-4.94--41.4615.3211.32-3.4514.729.00-9.6813.2611.16-12.53-1.949.65-12.647.2615.17-20.9133.2213.62-
0.170.160.150.150.140.160.150.140.150.130.100.100.080.080.070.070.060.070.070.080.070.070.070.060.060.060.05-0.060.030.040.030.030.03-0.050.060.06-0.080.080.08-0.080.080.07-0.080.080.07-0.070.060.07-0.070.080.08-0.090.090.10-
6.736.596.815.016.035.274.773.775.474.765.205.674.934.213.964.013.483.163.713.973.812.782.832.572.432.372.21-2.832.742.732.772.913.51-3.334.444.28-3.963.453.51-3.623.713.20-2.963.102.95-3.013.052.78-3.323.513.38-3.443.663.53-
1.161.211.121.131.191.101.061.191.060.860.941.221.071.000.840.820.860.890.971.080.971.041.080.991.131.090.79-0.920.991.300.740.680.83-0.841.011.16-1.291.441.32-0.590.660.71-0.850.940.91-0.950.870.87-0.960.890.84-0.970.890.98-
77.5074.4280.1479.8075.3982.0284.9275.4185.2510496.1574.0283.7890.2810811010510192.3983.4992.5386.6483.1590.8479.8682.35114-97.9091.1869.01121131108-10889.0577.59-69.9162.5867.99-152137126-10596.1698.72-94.95103104-93.49102107-93.2310292.12-
4.134.634.433.602.482.461.241.180.58-2.97-1.78-5.43-3.59-3.90-4.50-3.57-4.46-12.43-1.85-5.96-4.06-1.39-1.89-7.89-3.30-1.15-3.96--109.13-46.58-5.27--8.70-3.99---1.83-0.62--2.191.60--2.061.16--1.641.32---0.190.97--0.781.61--4.151.95-
4.134.634.433.602.482.461.241.180.58-2.97-1.78-5.43-3.59-3.90-4.50-3.57-4.46-12.43-1.85-5.96-4.06-1.39-1.89-7.89-3.30-1.15-3.96--109.13-46.58-5.27--8.70-3.99---1.83-0.62--2.441.79--2.361.34--1.861.50---0.221.12--0.901.86--4.812.28-
2.252.392.251.811.231.630.820.780.38-1.95-1.16-3.48-2.35-2.57-2.99-2.35-2.82-7.82-1.19-3.83-2.50-0.87-1.18-4.94-1.96-0.68-2.31--62.78-13.38-2.08--3.79-1.82---0.95-0.32--1.220.89--1.140.64--1.030.81---0.130.65--0.571.20--3.041.40-
2.692.962.792.241.532.051.040.980.48-2.48-1.43-4.38-3.53-3.26-3.79-2.98-3.46-9.51-1.46-4.68-2.92-1.01-1.37-5.74-2.26-0.79-2.73--76.46-43.46-5.27--8.70-3.99---1.13-0.38--1.421.03--1.330.74--1.210.97---0.150.76--0.681.44--3.711.72-
21.2920.5620.0019.8619.5217.5417.2017.1318.2220.0216.5316.9917.8018.5319.3620.2321.1022.0624.8125.4527.5629.4830.1730.9635.2037.4041.08-50.2923.8935.0437.1343.4047.14-50.5851.1852.32-53.5155.8454.77-53.2053.1452.22-51.1450.5849.90-48.8948.4148.73-48.7248.2348.16-46.7745.8144.10-
3.442.501.041.981.070.430.250.91-0.10-0.79-0.280.370.200.260.140.100.04-0.32-0.69-0.82-0.95-0.55-0.080.150.840.66-0.260.001.590.991.49-0.86-0.01-0.230.004.083.491.970.005.683.720.620.001.400.200.070.003.702.951.370.003.081.700.510.004.253.001.020.005.803.191.370.00
3.002.451.061.670.640.260.190.84-0.16-0.73-0.310.980.960.940.380.680.710.10-0.51-0.54-0.66-0.240.091.081.110.940.08-1.500.851.36-0.96-0.18-0.37-1.010.660.11-3.291.880.17--1.49-2.76-3.04--2.54-0.68-0.05--2.13-0.87-0.71--5.08-4.30-1.48-2.541.501.48-