Transportadora De Gas Sa Ord B Financial Ratios for Analysis 2009-2024 | TGS

Fifteen years of historical annual and quarterly financial ratios and margins for Transportadora De Gas Sa Ord B (TGS).

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
3.563.651.751.952.633.241.551.761.691.571.341.761.532.562.42
0.320.250.300.390.400.390.370.600.630.540.480.480.450.310.32
0.550.350.440.660.700.670.851.551.971.321.240.920.830.460.47
37.1241.6246.4350.6649.8052.4746.7340.0734.7040.3944.3247.5049.4648.0248.87
25.7131.8838.3136.9440.6941.8638.5130.1516.2821.6724.6727.4129.8021.9935.08
25.7131.8838.3136.9440.6941.8638.5130.1516.2821.6724.6727.4129.8021.9935.08
25.9643.7849.1147.9748.3048.3841.4434.0322.4727.5833.1436.5241.7435.0148.17
9.6330.0137.8413.7634.6633.5533.8719.18-6.763.946.0514.3519.3912.1820.10
5.1919.6423.525.8826.3733.5122.8112.57-4.072.443.759.2912.446.1811.14
0.300.400.430.430.510.550.900.830.640.700.470.460.370.290.28
37.1352.3840.7548.2379.2344.9361.5437.9632788.2921624.9112466.5565.76
5.144.975.366.725.185.904.494.613.535.924.595.736.565.224.02
70.9873.4768.1054.3270.4461.9181.3379.1310361.6579.4663.6655.6169.9990.74
2.7512.0917.364.9826.6336.8952.5136.84-10.155.625.3110.6611.813.105.37
2.7512.0917.364.9826.6336.8952.5136.84-10.155.625.3110.6711.833.115.38
1.547.8410.052.5613.3918.4320.4410.42-2.591.701.773.914.591.823.08
1.869.0312.173.0216.0222.3432.9014.78-3.752.612.775.596.472.143.66
21.6013.678.416.236.346.771.951.041.12------
4.781.812.112.661.802.771.290.880.320.770.970.720.650.500.83
1.380.521.441.93-0.321.010.810.630.060.500.710.430.400.270.59

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
2.671.053.013.563.253.934.583.653.273.232.031.751.711.532.991.953.603.802.952.632.722.463.043.245.195.831.711.551.551.511.871.761.601.771.651.691.391.551.721.571.681.731.471.341.201.162.011.761.971.821.661.531.391.272.862.562.562.582.462.422.712.902.47
0.200.010.230.320.240.240.240.250.250.260.280.300.320.350.370.390.380.380.380.400.430.380.390.390.840.670.330.370.410.430.530.600.640.600.680.630.530.500.540.540.500.500.540.480.450.430.490.480.460.450.450.450.390.390.310.310.310.320.310.320.330.330.33
0.290.300.370.550.350.330.340.350.360.370.400.440.500.550.620.660.640.630.640.700.800.640.660.675.262.070.700.850.981.061.191.552.091.762.491.971.331.151.361.321.181.141.591.241.141.020.980.920.880.830.830.830.660.640.460.460.460.470.470.470.510.500.51
50.8357.5347.0236.8334.0737.2741.2129.1334.4254.2061.2030.6948.8253.5367.9829.9659.6862.3060.4942.6853.8055.5951.6440.6957.0959.7858.9845.7046.6449.7644.8743.1933.6047.4631.7227.4133.2434.8833.6432.6737.5239.1849.2943.6631.6438.7352.8560.7345.4335.2547.374.3359.9641.9554.9934.4046.5858.6852.6761.6042.5442.6540.96
40.9747.9234.2124.9823.1726.6630.3429.2823.6733.2242.8838.2328.6534.7051.5726.5842.2342.0441.7538.4635.3546.7142.3227.5750.2745.9952.5335.4837.0240.7341.7733.5322.2637.9422.3347.37-13.6623.8116.5512.4620.3125.0328.1368.8215.2016.29-10.6529.5926.7416.7427.2492.8428.9524.0135.01-1.9932.6820.6736.4045.1130.3931.0524.74
40.9747.9234.2124.9823.1726.6630.3429.2823.6733.2242.8838.2328.6534.7051.5726.5842.2342.0441.7538.4635.3546.7142.3227.5750.2745.9952.5335.4837.0240.7341.7733.5322.2637.9422.3347.37-13.6623.8116.5512.4620.3125.0328.1368.8215.2016.29-10.6529.5926.7416.7427.2492.8428.9524.0135.01-1.9932.6820.6736.4045.1130.3931.0524.74
---------------------------------------------------------------
30.4252.7245.51-1.9916.3836.2323.5026.6124.4130.8940.7538.7031.9237.9741.82-8.639.4622.9839.6939.11-4.9458.2636.0542.3714.3523.1549.8132.4229.8531.8742.0227.9415.2029.87-5.52-14.45-29.4015.487.465.786.8017.73-9.557.66-12.31-6.2221.3019.3510.506.2819.012.047.8119.5525.727.0619.66-7.3026.7639.4415.3814.20-1.66
20.3632.4329.31-0.836.5521.3412.2017.3115.2418.9228.6725.3624.5818.9723.45-15.343.0316.2228.0631.380.4540.0125.9258.4710.2316.1835.0723.3919.7321.7626.0218.529.7719.50-3.65-11.60-19.2111.714.662.384.2111.96-6.275.76-8.09-4.3813.8111.826.783.9512.321.352.8610.2415.302.8210.67-5.9515.5023.327.647.27-3.58
0.090.100.090.170.080.090.090.170.090.100.120.170.100.110.110.140.110.100.120.180.110.140.130.190.250.250.300.290.230.280.260.270.190.270.200.270.150.160.150.170.160.160.190.170.100.080.150.140.100.100.131.170.070.080.090.080.060.070.080.100.060.060.06
13.118.8113.9521.4415.6415.0215.7226.476.605.1818.6520.966.8011.336.9022.4515.357.097.4031.745.388.0018.4319.3711.055.7512.2820.176.798.4124.2911.8211.0114.8620.1598.468.9911.4217.5824.687.6830.4115867.0232.449.6112.816.5921.1410.4826.2044.615.3015.4711.2221.2812.989.0014.7918.7110.0713.3011.64
1.481.561.492.961.371.391.412.071.241.211.562.131.301.601.712.201.701.361.301.821.121.471.392.041.321.641.791.441.421.881.681.521.061.561.231.482.022.191.131.481.231.571.711.630.971.052.271.781.493.031.8220.750.981.071.531.351.011.510.971.461.401.611.14
60.9557.6860.2830.4465.7764.7163.6543.5272.4174.3657.5142.2469.2856.3352.5940.8553.0565.9769.2249.5280.5161.3464.7744.1968.0054.8250.2562.3963.5447.9353.5759.3884.6857.5473.3560.9144.4641.1279.3660.7373.4557.4052.6355.2892.7685.5839.5750.7060.2829.6849.324.3491.8983.9359.0166.4389.4659.4593.1661.6864.3856.0378.64
2.685.074.13-0.250.852.871.714.442.142.965.537.444.273.754.98-4.260.622.996.3411.120.1011.176.4922.2317.9714.4124.5917.3111.9316.6120.8317.837.3219.34-3.38-12.11-9.215.672.291.381.935.58-3.992.89-2.26-0.995.624.61-1.003.914.04--2.410.37--0.712.254.200.840.80-0.39
2.685.074.13-0.250.852.871.714.442.142.965.537.444.273.754.98-4.260.622.996.3411.120.1011.176.4922.2317.9714.4124.5917.3111.9316.6120.8317.837.3219.31-3.38-12.11-9.215.672.291.381.935.58-3.992.89-2.26-0.995.624.621.681.003.914.050.411.542.410.371.15-0.712.264.210.840.81-0.39
1.753.282.60-0.140.541.871.112.881.381.883.324.312.402.042.61-2.180.331.583.325.590.055.713.2811.112.524.0910.566.744.556.066.785.041.825.30-0.73-3.09-2.891.920.710.420.661.95-1.160.96-0.80-0.372.061.690.650.401.541.570.210.791.420.220.68-0.421.302.410.480.47-0.22
2.165.043.17-0.170.652.191.293.311.602.183.995.222.892.443.12-2.580.381.853.926.690.066.883.9813.462.964.7616.5910.857.109.519.737.152.657.72-1.09-4.48-4.342.851.060.640.962.79-1.841.51-1.23-0.562.882.420.910.552.162.220.250.941.660.250.79-0.481.552.870.560.54-0.26
14.2212.3510.7921.6012.5712.0511.4313.6710.9710.129.258.417.076.375.896.235.715.675.716.345.115.15-6.77---1.95---1.04-------------------------------
2.151.140.384.781.961.440.871.811.280.810.902.111.310.950.682.661.871.130.551.800.990.710.532.771.220.590.651.290.710.560.420.880.560.430.230.320.240.07-0.050.760.500.470.400.970.510.410.350.720.520.420.280.650.440.320.180.480.180.210.230.830.000.000.00
0.770.25-0.091.380.660.570.550.520.610.400.681.440.920.730.571.931.340.730.26-0.32-0.35-0.220.011.010.620.270.550.810.470.420.350.630.400.340.200.060.04-0.06-0.120.500.320.360.350.710.370.310.310.430.360.290.200.400.240.190.100.270.020.100.180.59---