Tredegar Financial Ratios for Analysis 2009-2024 | TG

Fifteen years of historical annual and quarterly financial ratios and margins for Tredegar (TG).

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
0.711.621.401.341.531.731.881.741.792.031.881.922.122.392.42
0.110.400.280.550.100.220.310.230.280.270.260.260.240.000.00
0.130.680.401.230.110.290.440.310.380.370.350.340.310.000.00
10.9114.9619.9415.0221.6019.8920.9117.0713.7914.6215.3818.0815.6816.8518.88
-3.024.038.33-1.278.909.76-0.863.792.835.095.817.235.105.657.40
-3.024.038.33-1.278.909.76-0.863.792.835.095.817.235.105.657.40
6.207.0611.385.7614.3818.893.117.7011.899.4110.4512.7010.7111.5618.14
-22.773.507.93-3.648.429.11-1.473.33-2.654.815.516.834.865.492.63
-15.073.036.83-10.975.652.823.782.95-3.673.902.283.143.123.67-0.21
1.571.731.621.341.201.251.341.281.411.201.211.151.021.271.10
7.636.257.658.8010.447.539.2210.4311.5610.8611.519.8810.9714.2315.01
10.1711.028.007.729.316.716.667.929.268.279.688.687.958.128.42
35.9033.1345.6447.2939.1954.4154.8446.0939.4044.1137.6942.0445.9344.9343.34
-68.0414.1031.30-15.4415.5217.3511.137.87-11.789.688.9211.607.196.43-0.32
-96.2023.8257.85-74.7221.4425.9621.8615.35-26.8522.9620.3832.8116.458.62-0.42
-23.725.2511.04-3.278.208.705.063.76-5.164.574.535.513.664.63-0.23
-60.298.4022.44-6.9313.9613.497.726.03-8.537.076.638.635.476.42-0.31
4.525.935.483.2611.2910.7010.419.448.3511.4712.4611.6112.3813.1012.66
0.70-0.622.102.233.482.962.681.492.281.572.352.572.231.423.05
-0.07-1.711.421.532.281.761.330.171.320.26-0.051.641.790.912.11

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.780.730.711.781.831.961.621.531.351.601.401.521.431.451.341.631.591.521.531.691.671.881.731.551.801.951.881.881.931.821.741.741.791.961.792.102.092.002.031.951.991.851.881.841.871.831.921.932.002.132.122.922.692.552.392.142.072.272.422.242.192.11
0.110.110.110.500.440.430.400.370.320.380.280.460.450.550.550.020.090.110.100.150.160.230.220.220.250.280.310.320.340.380.230.220.240.270.280.320.280.290.270.250.240.240.260.260.270.240.260.160.200.230.24-0.000.000.000.000.000.000.000.000.000.02
0.130.130.131.010.770.770.680.600.480.620.400.870.821.231.230.020.100.130.110.170.190.300.290.280.330.390.440.470.520.610.310.290.310.370.380.480.380.400.370.330.320.320.350.360.380.310.340.200.250.300.31-0.000.000.000.000.000.000.000.000.000.02
18.2715.3810.938.959.9213.5010.8511.9616.9019.0119.5415.1924.4120.5220.572.7124.948.4125.6120.5321.1021.0539.5814.3218.7320.5920.2917.8127.9616.1618.2116.4915.3018.2810.0515.0113.4916.0214.1215.7512.5016.0216.1014.1815.7115.5419.6518.6616.5017.3415.5316.9314.6615.5816.6817.4516.2716.9820.1720.1718.3616.53
7.424.21-1.75-9.32-2.510.85-2.701.387.867.618.904.2812.477.293.99-15.3110.05-7.6111.947.657.909.4340.652.727.739.40-30.515.8517.253.251.934.932.725.57-2.645.371.086.634.716.842.845.836.384.626.465.768.938.835.095.873.916.364.915.225.916.314.615.737.919.577.554.22
7.424.21-1.75-9.32-2.510.85-2.701.387.867.618.904.2812.477.293.99-15.3110.05-7.6111.947.657.909.4340.652.727.739.40-30.515.8517.253.251.934.932.725.57-2.645.371.086.634.716.842.845.836.384.626.465.768.938.835.095.873.916.364.915.225.916.314.615.737.919.577.554.22
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5.652.24-43.96-38.33-12.49-0.35-3.670.907.417.288.543.8812.066.853.47-15.659.76-16.2011.377.247.418.9796.98-15.457.158.79-31.125.1416.672.731.504.512.265.04-3.06-14.890.686.254.316.592.615.576.064.326.175.488.588.514.625.413.496.184.735.045.706.134.495.627.799.467.43-15.76
4.611.87-21.32-30.32-10.62-0.53-2.050.435.396.959.212.969.694.870.47-44.536.01-13.45-2.548.155.677.4532.29-12.925.466.80-6.913.3515.671.650.845.791.633.50-2.99-16.400.274.215.474.751.653.614.012.910.531.764.313.383.371.37-0.136.252.833.484.104.522.683.305.926.254.09-18.72
0.420.400.370.350.370.360.350.440.480.420.440.380.410.360.370.260.280.250.170.290.350.350.110.380.360.350.340.300.350.290.320.320.330.330.320.340.290.300.300.300.280.290.300.300.310.310.310.300.290.280.260.340.340.320.310.340.330.300.280.300.280.28
1.751.711.811.911.851.461.321.841.891.832.112.082.042.092.262.241.641.811.431.962.162.090.522.442.582.482.382.462.412.462.552.372.652.602.712.902.612.692.762.952.832.802.782.682.632.602.622.692.622.842.764.894.813.893.454.194.544.143.794.584.444.73
2.252.382.422.312.222.132.222.132.141.792.192.122.202.062.121.781.841.551.351.742.141.820.622.022.011.711.701.831.971.781.961.912.022.112.082.071.911.912.092.021.961.982.362.152.012.092.342.292.122.082.001.851.881.801.971.951.911.912.162.021.791.69
40.0037.8137.2539.0340.6042.3540.6142.2141.9950.3141.0742.5340.9643.6042.4250.4948.9157.8966.8651.7742.0549.3514644.6244.6952.7052.7949.2445.5850.4345.9147.1544.6042.6943.3243.5747.2247.2043.0444.5845.9445.3938.1041.8044.6743.1538.3939.2242.4243.1845.0448.5347.8849.9345.7546.0947.0747.1441.6644.5750.2153.12
5.502.10-22.87-32.67-10.33-0.50-1.920.507.027.7511.504.2614.468.295.94-5.874.08-6.102.433.783.735.3117.72-10.404.015.01-5.222.2112.301.160.563.791.112.50-2.15-13.030.172.833.512.590.892.042.331.972.612.513.723.491.861.910.782.891.391.561.712.171.251.402.332.651.61-7.43
7.622.94-32.33-46.57-16.15-0.84-3.240.8311.5912.8721.2610.0535.6031.7828.74-8.425.46-8.293.355.275.327.7326.51-16.277.339.31-10.244.4626.002.911.097.282.245.27-4.91-28.700.406.948.325.511.904.475.335.087.076.8510.527.384.084.261.783.801.832.072.292.931.711.893.083.542.18-10.16
1.950.74-7.97-10.51-3.90-0.19-0.710.192.602.914.061.143.871.841.26-2.992.18-3.121.282.061.982.648.89-4.951.952.40-2.371.025.470.480.271.840.531.15-0.94-5.530.081.281.661.330.471.051.190.941.201.211.771.930.980.980.402.111.011.131.231.540.891.011.671.871.15-5.20
4.891.86-20.26-16.29-5.84-0.28-1.140.314.754.798.252.287.963.712.66-5.733.72-5.422.183.233.144.1013.78-8.153.003.60-3.621.508.090.720.432.940.851.83-1.56-8.830.122.012.561.940.671.541.741.451.891.912.772.921.491.470.592.891.391.551.712.171.251.402.322.641.61-7.27
4.644.544.524.485.335.935.936.096.246.265.484.344.253.443.268.6310.4710.1011.2911.9311.6411.1710.709.9111.0710.9610.4111.3210.889.659.449.669.328.898.358.6210.8810.6811.4712.8113.0912.8512.4611.6711.4111.7611.6112.6712.3712.6412.3813.7813.6313.3913.1012.9612.4612.5812.6612.2511.8411.42
0.21-0.220.701.290.67-0.27-0.62-0.68-0.28-1.622.101.531.230.292.231.981.080.453.482.592.060.342.962.812.170.462.681.620.660.111.491.050.560.142.281.020.590.381.571.150.520.312.351.370.630.272.571.540.860.432.231.520.870.081.420.930.50-0.033.052.521.530.98
0.08-0.29-0.070.640.20-0.54-1.71-1.44-0.68-1.781.421.090.890.141.531.580.820.312.281.801.33-0.051.762.081.760.301.330.50-0.14-0.280.170.150.01-0.081.320.330.170.150.260.30-0.040.00-0.05-0.28-0.41-0.041.640.940.580.261.791.170.64-0.040.910.550.27-0.122.111.801.050.69