Triumph Financial Ratios for Analysis 2009-2024 | TGI

Fifteen years of historical annual and quarterly financial ratios and margins for Triumph (TGI).

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
2024202320222021202020192018201720162015201420132012201120102009
2.642.351.602.161.581.271.941.331.532.162.782.192.031.502.712.21
1.111.891.991.721.771.630.760.550.600.380.400.370.360.380.320.32
-10.33-2.12-2.02-2.39-2.31-2.603.191.411.520.640.680.650.650.800.590.58
27.0828.3626.4621.0420.4413.0818.4921.477.4319.2222.6325.3724.7323.1828.3929.24
7.2517.315.82-17.442.00-8.16-14.56-0.88-28.0811.1810.6314.3515.1010.8111.9912.25
7.2517.315.82-17.442.00-8.16-14.56-0.88-28.0811.1810.6314.3515.1010.8111.9912.25
10.3120.8010.180.256.83-5.453.588.40-4.3113.5114.0417.2518.1213.3816.3516.30
-2.296.70-3.63-23.96-0.82-9.88-14.44-0.67-29.838.988.3012.5112.848.079.7710.95
42.987.92-3.39-24.12-1.01-9.72-13.30-1.22-26.976.145.488.038.245.165.237.09
0.710.660.720.760.971.180.840.800.800.650.680.710.740.650.770.78
2.742.622.573.695.097.071.832.072.912.452.622.803.142.862.642.25
8.627.247.079.638.079.018.4911.338.757.467.278.257.737.766.045.92
42.3450.4051.6437.8845.2440.5242.9732.2141.7248.9650.1744.2547.1947.0560.4761.64
33.01-9.086.4055.073.7757.06-94.42-5.07-112.0911.189.0314.5415.709.349.9111.76
5.07-5.243.6331.251.7620.6165.454.8390.43-27.90-42.43-44.24-48.35-20.1129.7342.03
-2.044.22-2.86-18.40-0.99-11.46-11.17-0.97-21.674.013.715.686.133.405.045.83
-3.558.13-6.31-39.78-2.89-36.06-22.72-2.28-45.376.895.459.1710.025.766.698.00
-1.36-12.19-12.19-12.76-15.07-11.499.0717.0818.9543.3543.7940.8036.2133.6425.8123.77
0.13-0.73-2.12-3.281.91-3.51-5.845.711.709.162.566.124.393.005.094.07
9.45-1.101.05-3.462.060.53-5.016.410.207.07-0.503.782.751.194.162.73

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
2.472.642.662.852.492.352.222.251.631.601.651.761.792.162.092.171.491.581.241.241.211.271.381.331.231.941.841.871.431.331.641.811.661.532.792.702.642.162.672.853.452.783.152.752.642.192.272.242.112.031.751.571.451.501.481.721.722.712.762.373.222.21
1.141.111.701.681.821.891.751.792.031.992.052.072.061.722.132.123.061.771.611.681.641.631.211.171.180.760.640.620.570.550.600.620.610.600.430.410.400.380.380.390.420.400.410.390.390.370.340.330.340.360.370.390.390.380.420.460.470.320.330.280.350.32
-8.03-10.33-2.43-2.48-2.23-2.12-2.34-2.27-1.97-2.02-1.96-1.94-1.95-2.39-1.89-1.90-1.49-2.31-2.64-2.49-2.57-2.60-5.91-6.84-6.713.191.841.671.501.411.691.671.641.520.780.710.700.640.640.660.750.680.710.660.660.650.580.560.590.650.670.730.730.800.900.910.970.590.610.510.550.58
26.3131.2124.5626.1726.5034.2227.3832.3622.0325.9327.2326.6025.9622.9720.0120.7020.4519.6922.4819.4120.2717.5011.7115.287.5318.3318.6219.6917.3921.5822.6923.0218.68-36.3724.3023.4623.7124.355.3922.4023.6522.6521.4120.2626.2024.4925.4625.0026.6325.3625.1125.2123.2322.8222.2322.6726.8528.8726.9628.6329.0328.86
2.8911.426.929.68-0.2111.879.0342.974.224.228.834.605.25-9.90-8.211.54-50.98-5.810.247.914.86-21.77-2.10-0.23-7.99-34.61-19.890.00-0.12-22.136.538.065.23-111.81-13.8111.5311.2413.03-6.6811.5426.828.649.269.6114.9811.4515.0915.2415.8819.3614.2413.7212.4711.8010.6911.218.0713.4510.5111.8611.9811.39
2.8911.426.929.68-0.2111.879.0342.974.224.228.834.605.25-9.90-8.211.54-50.98-5.810.247.914.86-21.77-2.10-0.23-7.99-34.61-19.890.00-0.12-22.136.538.065.23-111.81-13.8111.5311.2413.03-6.6811.5426.828.649.269.6114.9811.4515.0915.2415.8819.3614.2413.7212.4711.8010.6911.218.0713.4510.5111.8611.9811.39
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-6.151.21-3.800.13-7.75-13.892.1235.20-2.46-9.382.61-2.04-7.35-15.64-15.83-6.78-55.53-12.01-2.376.923.14-24.53-3.68-1.66-9.07-34.25-18.77-0.88-0.33-15.254.206.013.20-113.56-15.549.899.3511.72-8.169.9922.096.765.977.5112.899.6813.2013.4613.9417.4112.4811.489.349.357.998.165.1710.538.0310.1110.2910.63
-5.01189-5.58-0.37-6.88-8.284.1934.63-2.96-5.582.27-2.54-7.65-15.75-15.99-6.95-55.71-11.04-1.875.472.48-23.59-3.83-1.72-9.19-33.99-14.61-0.72-0.25-13.793.473.982.21-102.44-9.706.456.547.67-4.346.7814.304.523.865.128.386.658.458.558.6011.237.987.405.945.705.515.412.797.011.796.215.716.72
0.190.170.170.210.160.120.160.200.210.110.180.200.210.190.180.190.220.230.270.280.260.300.240.250.240.240.190.170.180.210.170.180.180.220.150.150.150.180.150.170.150.170.170.180.180.190.190.200.200.210.190.180.190.210.180.170.090.210.190.200.200.20
0.580.630.610.600.450.450.470.520.720.390.590.680.710.900.760.820.841.231.151.371.241.731.311.361.440.510.430.440.520.540.440.460.541.170.420.470.500.640.670.620.570.650.640.700.640.760.710.790.750.860.730.720.870.910.780.760.370.710.600.570.570.57
2.052.092.242.151.661.361.461.742.081.062.012.042.092.412.542.061.931.932.342.262.202.332.272.272.472.382.422.262.272.952.742.652.302.381.891.771.752.072.031.921.341.811.962.222.302.202.762.362.442.152.392.172.192.452.942.601.371.641.891.701.621.49
43.8543.0340.2741.9254.1266.3061.7051.8743.3084.8944.7944.1443.1537.4135.4343.6746.6946.6838.4139.9040.8638.6939.6239.6936.4437.7937.2739.8739.6030.5032.7933.9239.1137.7947.7450.9951.3843.4644.3746.9866.9549.7245.8340.4639.2140.9632.5638.1136.9141.9037.6641.5141.1736.6730.6034.6765.4754.8547.6653.0755.4360.58
15.70-0.431.780.192.893.67-0.80-15.171.282.31-0.891.093.678.986.373.1526.339.802.48-7.15-3.2435.7611.196.1733.78-67.66-15.13-0.63-0.23-14.982.993.602.10-115.91-4.092.732.833.88-1.752.875.451.851.542.263.703.213.714.114.095.923.653.363.013.313.112.950.842.902.152.482.632.86
2.71-0.070.950.101.632.12-0.43-8.310.741.31-0.510.632.105.104.001.9716.404.570.87-2.68-1.1612.912.331.135.8546.9016.020.670.2214.27-2.84-3.22-1.7493.5115.16-8.81-8.25-9.685.19-12.34-26.14-8.70-7.54-9.98-14.60-9.76-16.78-19.67-15.30-18.24-11.68-9.25-7.34-7.13-4.52-4.03-1.088.716.647.768.6610.21
-1.260.03-0.71-0.08-1.32-1.710.356.79-0.62-1.030.41-0.50-1.61-3.00-2.84-1.32-12.17-2.57-0.501.530.64-7.18-0.93-0.43-2.24-8.01-2.71-0.13-0.05-2.870.600.720.41-22.41-1.470.981.001.39-0.671.162.190.760.640.931.501.251.601.751.682.311.491.321.151.211.010.940.261.481.101.321.361.42
-2.240.05-1.24-0.13-2.35-3.290.6012.03-1.32-2.280.94-1.17-3.89-6.49-7.22-3.52-54.11-7.51-1.524.852.08-22.59-2.30-1.07-5.99-16.28-5.37-0.24-0.10-6.741.201.370.81-46.92-2.331.621.692.39-1.081.743.151.120.911.382.262.022.452.752.693.782.292.061.852.041.811.600.451.961.441.781.711.94
-1.55-1.36-8.72-8.70-10.75-12.19-10.59-10.80-12.40-12.19-12.57-12.83-12.82-12.76-19.46-20.44-20.14-15.07-10.28-11.80-11.16-11.49-5.55-4.78-4.559.0715.0717.2417.1917.0819.7919.5018.9418.9543.9545.7844.9443.3545.0046.3445.7743.7943.8542.0541.0340.8040.4739.0237.3936.2136.5235.4934.4733.6429.8229.3328.3725.8125.1725.0324.5523.77
-1.350.13-0.89-1.26-0.96-0.73-1.64-1.72-1.44-2.12-2.61-2.87-2.33-3.28-3.73-4.61-3.811.910.78-0.210.10-3.51-3.89-3.97-1.33-5.84-4.01-6.05-2.015.71-3.49-2.65-1.701.70-3.55-3.62-3.019.166.125.05-1.002.560.630.830.236.124.402.541.964.392.761.181.783.002.252.350.615.093.792.200.984.07
-1.459.45-1.19-1.49-1.16-1.10-1.91-1.93-1.521.050.53-0.110.45-3.46-4.05-4.83-3.942.061.23-0.56-0.110.53-3.76-3.64-1.56-5.01-3.27-5.14-2.236.41-3.69-2.94-1.940.20-4.80-4.36-3.367.074.483.92-1.43-0.50-2.21-1.21-0.643.782.701.381.252.751.790.671.531.190.981.550.164.163.151.800.772.73