Teck Resources Financial Ratios for Analysis 2009-2024 | TECK

Fifteen years of historical annual and quarterly financial ratios and margins for Teck Resources (TECK).

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
1.101.411.621.231.622.111.812.162.782.042.673.613.481.901.55
0.180.200.230.230.160.190.240.320.370.300.290.280.270.230.32
0.230.270.310.300.190.240.330.470.580.450.410.400.390.310.55
34.2649.5037.6914.9027.9936.7838.4225.7615.4917.7725.8629.6442.3648.1347.72
29.1140.3434.383.7321.2838.4034.6121.718.6312.1921.0726.9338.7034.4332.55
29.1140.3434.383.7321.2838.4034.6121.718.6312.1921.0726.9338.7034.4332.55
41.9850.0146.1220.6134.8550.2146.7936.6025.1727.8234.2136.1246.6144.4947.79
26.2737.9133.62-12.70-3.9235.9033.0017.51-40.208.4217.5114.3636.1831.2134.40
16.0519.1621.27-9.66-5.0724.7320.8311.18-29.964.4410.778.4124.0421.1523.86
0.270.330.280.220.300.320.330.260.240.230.260.300.340.320.26
3.353.263.514.074.343.854.534.134.314.044.103.874.043.512.92
6.8510.706.786.7510.319.996.555.536.367.577.207.259.278.549.10
53.2534.1353.8054.0935.3936.5555.7166.0157.3648.2250.6950.3239.3742.7640.10
8.2515.3512.26-4.56-2.6613.6613.005.91-14.932.124.968.3613.7310.366.72
8.5916.0312.85-4.81-2.8014.3613.776.31-16.022.335.449.2015.1211.537.58
4.157.776.15-2.29-1.497.946.852.92-7.161.082.584.347.185.743.28
6.8012.319.42-3.52-2.2411.039.824.03-9.471.493.525.9810.007.964.56
40.5239.7035.5129.1130.3931.1226.2723.0422.62------
5.7611.467.002.184.695.886.664.002.653.584.834.786.784.524.46
-0.845.111.02-2.190.943.364.532.150.501.231.711.694.663.183.58

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.481.491.101.201.291.281.411.651.821.921.621.411.261.161.231.341.521.351.622.082.472.952.112.302.382.141.812.172.001.872.162.102.642.292.782.332.232.312.042.992.733.372.673.773.624.633.614.933.484.153.483.932.682.321.902.192.232.031.551.651.780.43
0.160.170.180.180.180.190.200.210.200.230.230.240.250.230.230.210.200.170.160.150.150.170.190.190.240.240.240.240.250.270.320.340.350.340.370.350.310.310.300.300.290.300.290.280.290.280.280.290.270.260.270.280.220.220.230.260.260.270.320.350.470.30
0.210.220.230.240.240.260.270.280.260.300.310.330.340.320.300.270.250.220.190.180.180.210.240.230.310.310.330.320.340.380.470.520.540.540.580.570.480.480.450.430.410.420.410.400.410.390.400.420.390.380.390.410.280.290.310.370.360.370.550.600.951.17
30.0032.3230.1223.0940.0744.0244.3940.2956.8251.0347.2141.8626.9425.6819.5012.708.0816.7417.4625.9333.4933.5530.7831.4441.1543.9840.1634.9037.8341.0244.4419.6112.189.1313.0416.1615.5616.9720.3618.8914.4519.4423.9423.6527.2530.6426.5127.5728.9435.8839.5648.1841.7136.8949.7146.9147.0243.4446.8743.7249.3148.91
24.9424.9021.9415.5929.9849.019.7028.3848.5951.2545.2537.9121.0723.673.564.85-10.0012.457.4019.8024.9830.9725.8652.4235.6139.5933.7731.2234.4939.5640.2314.278.396.956.324.3011.9212.802.1711.9611.9812.0512.7819.8119.6925.8223.8924.3225.2234.1139.2938.1442.3336.9139.8838.6933.0828.8835.2731.8733.6334.40
24.9424.9021.9415.5929.9849.019.7028.3848.5951.2545.2537.9121.0723.673.564.85-10.0012.457.4019.8024.9830.9725.8652.4235.6139.5933.7731.2234.4939.5640.2314.278.396.956.324.3011.9212.802.1711.9611.9812.0512.7819.8119.6925.8223.8924.3225.2234.1139.2938.1442.3336.9139.8838.6933.0828.8835.2731.8733.6334.40
--------------------------------------------------------------
16.9918.5816.9416.3722.8849.0487.96-1.6346.0248.6950.2534.1118.3319.67-21.401.92-14.59-15.99-88.5517.9211.7931.6521.5250.4533.5537.9436.6530.7432.4031.9631.0615.103.397.13-37.64-139.267.906.588.1010.827.408.1616.5116.6414.7023.268.2514.9816.8917.8631.5140.1540.0430.3524.7922.0823.2058.7231.0237.9942.5722.38
9.378.6011.817.6714.4930.1212.02-4.1828.9431.2233.8520.5510.1611.97-18.012.66-8.66-13.13-68.7212.167.3620.2813.2439.9221.0224.5523.6819.1820.4819.7719.7110.150.865.54-21.50-102.143.153.365.723.734.233.319.7610.586.6514.125.317.1910.468.5621.4324.0827.0419.4812.8513.1312.3247.7918.9728.5833.3914.11
0.070.070.070.070.070.070.030.090.120.100.090.090.060.060.060.060.040.060.070.070.080.070.080.080.080.080.090.090.080.080.100.070.050.050.060.060.050.050.050.060.060.060.060.070.060.070.080.070.070.080.090.100.100.080.100.090.070.070.080.070.060.05
0.800.880.970.940.720.760.331.081.041.060.970.990.860.961.121.050.801.061.111.071.011.011.071.090.890.951.191.271.051.041.171.120.981.041.100.960.900.921.021.001.010.961.061.100.880.931.080.930.990.911.041.091.031.061.010.930.840.810.850.820.600.62
1.811.711.861.952.532.100.992.622.812.222.212.162.071.931.972.052.312.192.312.162.161.902.532.442.272.101.771.722.291.902.102.061.481.471.571.921.711.741.752.121.982.101.712.082.102.031.921.992.212.022.382.272.082.292.682.142.902.482.722.341.621.91
49.6852.6548.3146.0935.6042.8290.6134.4132.0540.5140.6741.6243.4246.6845.7744.0038.8841.0439.0241.6641.7647.2935.6136.9439.6042.7650.7752.3539.2547.3042.8643.6160.7861.2257.2346.9752.7151.8451.3142.4245.5442.8652.7343.2942.7844.3046.8845.2340.6844.5637.8539.6743.2539.2433.6341.9831.0636.3133.0338.5055.4647.08
1.231.401.400.951.704.373.68-0.856.416.246.413.771.231.39-2.320.12-0.86-1.41-8.401.541.042.681.885.743.013.683.993.173.133.194.001.360.070.57-2.64-12.560.330.360.600.430.460.361.151.430.771.740.811.001.471.203.544.434.602.902.332.161.656.003.024.294.402.01
1.281.461.450.991.774.563.84-0.896.696.526.723.971.291.47-2.450.12-0.90-1.48-8.841.611.092.811.986.043.183.884.233.363.333.394.271.460.080.61-2.83-13.440.360.400.670.470.510.401.271.570.851.900.891.101.611.323.904.895.093.222.592.411.856.723.414.875.142.38
0.650.740.700.490.882.231.86-0.443.403.193.221.870.610.70-1.160.06-0.47-0.80-4.710.890.611.531.093.361.672.022.101.711.671.661.980.660.040.28-1.27-6.180.170.180.310.220.240.190.600.760.410.930.420.520.770.641.852.332.601.631.291.170.903.271.482.031.720.72
1.031.171.150.771.393.532.95-0.675.144.834.932.860.921.07-1.790.09-0.69-1.17-7.071.310.892.211.524.662.302.813.022.412.342.322.730.900.050.38-1.67-8.150.230.250.420.300.330.260.821.020.551.250.580.711.070.882.583.193.602.251.791.601.224.402.052.792.331.41
43.9144.0440.5240.5939.5439.4739.7039.1038.8936.5435.5133.1732.4531.2229.1130.4029.3531.0130.3933.1131.9431.9631.1229.9128.8328.7226.2726.3924.3023.8223.0422.3722.3221.03----------------------------
1.910.065.764.183.141.5511.4610.347.523.357.003.881.750.862.181.360.790.384.693.642.150.685.884.092.961.546.664.973.481.694.002.080.960.472.651.680.990.523.582.451.560.864.853.522.471.304.793.432.391.106.794.782.410.004.522.911.740.784.463.642.631.86
-0.52-1.05-0.84-0.90-0.44-0.255.115.804.712.101.02-0.46-1.14-0.42-2.19-1.73-1.40-0.740.941.070.730.053.363.711.890.914.533.492.591.232.150.750.120.090.500.290.010.001.230.730.390.231.721.320.380.641.691.371.160.554.673.281.53-3.182.081.230.543.583.042.191.65