Tefron Financial Ratios for Analysis 2009-2023 | TFRFF

Fifteen years of historical annual and quarterly financial ratios and margins for Tefron (TFRFF).

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
1.741.341.281.211.201.231.251.311.401.441.491.601.541.430.86
0.110.060.100.170.220.210.320.280.310.350.370.400.380.36-
0.240.960.891.271.341.131.060.960.840.880.950.970.790.720.55
22.6522.0920.5817.4117.5119.9918.4320.5119.8817.9217.8717.9115.30-0.78-3.29
8.036.277.224.780.751.31-0.252.00-1.810.24-2.460.49-3.27-19.26-18.11
8.036.277.224.780.751.31-0.252.00-1.810.24-2.460.49-3.27-19.26-18.11
10.869.008.847.204.614.873.826.513.465.703.754.891.88-8.22-10.10
5.944.415.713.38-1.040.97-2.57-0.29-4.23-1.31-4.58-1.28-3.88-29.23-19.67
4.493.355.492.53-1.100.89-2.63-0.96-4.23-0.85-4.14-0.40-3.59-26.36-15.05
1.731.431.731.661.741.811.641.541.291.361.171.441.591.041.16
3.392.442.934.404.283.843.863.773.965.025.396.205.345.206.04
5.024.495.463.974.575.725.805.594.684.575.065.328.659.227.92
72.7681.3566.8592.0479.8863.8362.9665.2577.9679.9072.2068.6342.2039.5846.10
17.3014.2832.6216.65-7.465.14-13.41-4.12-13.90-2.98-11.39-1.48-13.63-63.19-37.01
18.6515.9634.7918.27-8.235.56-14.43-4.38-14.72-3.11-11.85-1.56-16.19-68.48-37.79
7.764.809.524.21-1.911.61-4.32-1.48-5.47-1.16-4.48-0.58-5.72-27.42-17.54
15.4413.4029.2013.84-5.814.04-9.16-2.95-9.66-1.94-7.17-0.89-8.46-40.71-37.01
5.084.203.632.311.932.072.012.292.394.00-----
3.59-0.31-0.240.310.14-0.280.300.15-0.27-0.320.880.50-1.62-0.82-0.69
3.25-0.49-0.440.130.02-0.340.180.00-0.39-0.410.730.40-1.64-0.74-0.97

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
1.581.751.741.661.561.531.341.321.291.251.281.251.251.201.211.191.201.221.201.191.201.211.231.221.271.191.251.301.281.281.311.411.371.261.40-1.551.381.441.421.461.451.491.541.511.611.601.631.511.451.541.551.751.591.430.791.571.580.861.101.071.38
-0.100.110.120.13-0.060.060.060.100.100.110.130.150.170.170.200.230.220.220.210.220.210.230.250.230.320.300.270.280.280.280.290.310.31-0.290.330.350.360.360.360.370.370.360.380.400.390.390.370.380.410.410.390.36-0.300.29-0.14-0.14
0.100.130.240.360.570.560.961.131.080.960.890.900.921.311.271.391.321.441.341.491.481.261.131.070.950.761.061.040.950.940.960.810.810.830.84-0.710.860.880.930.880.890.950.950.970.960.970.940.920.870.790.920.920.810.720.590.530.480.550.490.420.38
21.7923.7022.1723.6321.3323.6722.2120.1322.6923.0821.1018.6221.7221.0916.1418.7218.0616.7817.4614.2718.0819.6821.8820.2322.3014.7021.4416.0717.3919.2421.7621.5920.9517.6220.7720.0718.5320.1219.1417.3215.2420.0619.5617.9817.3416.8019.3317.8516.1118.3917.2815.1714.7413.79-19.841.226.453.65-12.62-26.26-6.2513.00
8.649.737.189.357.967.596.953.157.167.336.296.437.988.336.964.236.000.691.53-3.722.871.262.67-0.494.86-3.13-0.64-3.600.172.720.411.245.70-1.15-3.56-2.88-2.030.993.09-0.85-0.88-0.78-4.51-2.68-0.84-2.13-0.141.050.850.44-0.53-1.80-4.41-6.74-45.14-16.29-9.04-13.80-28.17-44.30-22.410.71
8.649.737.189.357.967.596.953.157.167.336.296.437.988.336.964.236.000.691.53-3.722.871.262.67-0.494.86-3.13-0.64-3.600.172.720.411.245.70-1.15-3.56-2.88-2.030.993.09-0.85-0.88-0.78-4.51-2.68-0.84-2.13-0.141.050.850.44-0.53-1.80-4.41-6.74-45.14-16.29-9.04-13.80-28.17-44.30-22.410.71
--------------------------------------------------------------
7.268.195.137.246.245.034.100.895.916.325.135.565.017.384.953.344.96-0.920.43-6.121.10-0.900.42-3.052.912.70-3.04-5.70-2.230.34-2.93-0.674.09-3.76-5.72-5.85-4.56-1.060.70-0.09-2.48-3.54-6.23-5.46-3.20-3.80-1.67-1.730.58-2.360.41-2.03-6.42-8.13-83.53-21.90-10.50-15.95-28.60-52.67-24.111.72
5.765.704.445.454.563.393.330.173.615.963.945.586.356.083.792.734.02-1.50-0.01-5.631.00-0.900.84-3.172.402.64-2.72-6.20-2.160.24-3.83-0.853.28-4.45-5.72-5.85-4.56-1.060.79-0.12-0.76-3.58-6.59-6.30-2.48-1.76-1.67-1.684.44-2.830.97-1.76-5.83-8.40-82.84-17.10-8.00-12.63-20.90-39.31-18.291.35
0.510.520.440.430.450.390.400.310.360.310.420.500.520.450.510.500.440.420.520.370.440.430.480.370.550.450.350.450.430.420.350.350.520.340.35-0.310.360.370.310.360.320.270.270.310.270.360.360.360.350.420.380.360.320.210.220.270.270.220.200.220.36
1.231.170.870.820.930.660.690.470.510.430.710.991.071.021.372.031.621.211.270.781.010.931.000.791.681.050.801.210.991.010.830.881.370.781.05-1.211.291.361.341.751.161.231.331.551.241.511.521.341.101.391.461.681.341.251.141.261.161.271.321.251.57
1.381.461.271.451.341.411.261.371.451.341.331.461.401.091.210.890.911.041.361.311.321.261.521.241.371.571.241.611.631.721.261.461.891.501.25-1.031.471.261.071.171.341.181.041.100.981.321.551.491.602.301.911.581.401.861.911.831.721.531.290.911.54
65.3061.5370.6461.9067.3863.9971.1965.6661.8767.1867.8361.7864.2882.5574.2910198.7286.7466.1368.4868.0471.3559.1472.7565.6057.2472.3655.7555.3652.2071.6861.8347.6460.0571.99-87.1861.1571.7083.9876.7167.1776.6086.3481.6391.8368.1158.1960.3356.3839.0747.0357.0564.2348.4447.1849.1752.2858.9569.5898.8058.60
6.436.554.355.545.243.454.010.174.266.665.6910.0412.1011.357.625.366.86-2.33-0.01-7.771.63-1.391.29-3.723.893.51-2.98-7.57-2.610.29-3.68-0.744.48-4.36-5.02--3.33-0.980.76-0.10-0.70-2.92-3.89-3.61-1.06-2.30-1.52-1.494.12-2.640.98-1.66-5.24-6.96-40.00-7.19-4.34-6.81-9.91-16.16-7.730.99
7.417.524.695.745.693.804.480.194.877.746.0710.7613.0912.418.365.887.57-2.59-0.01-8.591.77-1.501.39-3.994.183.77-3.20-8.09-2.770.31-3.91-0.794.75-4.63-5.32--3.47-1.030.79-0.10-0.72-3.03-4.05-3.77-1.10-2.40-1.60-1.574.31-2.811.16-1.75-5.60-7.47-43.34-7.30-4.41-6.93-10.11-16.67-7.961.02
2.952.981.952.362.061.311.350.051.291.821.662.783.292.721.931.361.77-0.630.00-2.060.44-0.390.40-1.181.321.18-0.96-2.76-0.920.10-1.33-0.301.71-1.49-1.98--1.40-0.380.29-0.04-0.27-1.14-1.53-1.46-0.43-0.93-0.60-0.611.59-0.990.41-0.66-2.08-2.71-17.35-3.70-2.18-3.35-4.69-7.71-3.990.49
6.435.903.884.894.563.453.760.163.986.015.098.8910.589.636.334.475.51-1.81-0.01-6.091.29-1.081.01-2.872.922.71-2.03-5.31-1.900.21-2.64-0.533.18-3.02-3.49--2.35-0.650.49-0.06-0.45-1.87-2.45-2.29-0.68-1.42-0.91-0.912.52-1.670.61-0.98-3.07-4.25-25.77-7.19-3.03-4.81-9.91-13.92-7.730.85
------4.20---3.63---2.31---1.93---2.07---2.01---2.29---2.39---4.00-----------------------
1.651.023.593.232.121.54-0.31-1.31-0.98-0.08-0.240.160.17-0.720.31-0.110.300.000.14-0.09-0.30-0.18-0.28-0.22-0.260.020.300.220.200.640.150.390.230.26-0.27-0.15-0.010.57-0.32-0.32-0.24-0.020.000.510.300.100.49-0.160.00-0.320.000.00-1.64-1.31-0.81-1.11-1.26-1.14-0.691.06-0.40-0.26
1.390.903.252.951.961.49-0.49-1.52-1.07-0.11-0.440.010.08-0.730.13-0.270.23-0.010.02-0.16-0.34-0.20-0.34-0.27-0.280.010.180.140.130.590.000.250.130.19-0.39-0.21-0.030.56-0.51-0.49-0.36-0.09-0.340.150.070.39-0.18--0.33---1.65-1.31-0.73-1.10-1.26-1.15-0.970.85-0.54-0.36