Thor Industries Financial Ratios for Analysis 2009-2024 | THO

Fifteen years of historical annual and quarterly financial ratios and margins for Thor Industries (THO).

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
1.691.631.741.561.391.411.711.511.562.052.282.302.202.242.343.27
0.210.240.330.350.410.47-0.080.22-------
0.300.340.500.550.730.93-0.090.28-------
14.4614.3517.2015.3813.6912.3713.9814.4015.8513.9113.3413.1012.1012.7713.4910.02
4.225.269.407.374.743.137.597.728.567.257.066.776.085.506.971.13
4.225.269.407.374.743.137.597.728.567.257.066.776.085.506.971.13
7.167.8611.219.377.275.118.739.109.718.047.797.547.036.537.552.02
3.474.498.956.863.342.357.607.688.377.317.176.856.275.657.531.54
2.643.376.985.362.731.695.165.165.604.985.084.724.614.544.831.13
1.431.532.201.851.421.393.002.831.972.672.502.442.121.952.361.60
6.295.767.707.619.848.3213.3213.479.5514.0114.1218.4112.4711.0713.8013.01
14.3317.2917.2812.9710.0310.9817.0914.9511.6714.8612.6013.1611.3713.8113.7613.16
25.4721.1121.1328.1536.3933.2421.3524.4231.2724.5728.9727.7432.0926.4326.5227.73
6.519.4031.6122.429.446.3222.2023.7420.3918.9617.9516.9913.1010.9616.752.43
18.6131.55168148-484.47-56.7036.7149.5567.8834.6229.1927.2422.6819.6421.983.08
3.785.1515.369.933.842.3415.4814.6311.1013.4412.4611.428.967.6511.421.80
5.137.1021.2614.555.543.3322.2021.7415.8818.9617.9516.9913.1010.9616.752.43
76.9774.7267.0853.2542.4938.0536.7729.9824.1120.3318.3316.7816.0814.9812.7712.72
10.1618.2317.929.459.769.408.837.956.494.652.802.732.202.071.890.88
8.0314.6113.827.188.347.046.285.865.513.872.392.282.031.481.760.83

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.691.651.751.631.631.791.951.851.741.701.681.581.561.461.491.401.391.651.381.391.411.541.661.661.711.671.631.501.511.631.641.611.562.212.192.052.052.252.282.452.282.232.402.112.302.002.032.272.201.982.072.282.242.051.962.082.342.192.382.883.272.452.55
0.210.230.260.240.240.300.320.320.330.370.400.420.350.380.410.400.410.480.450.460.470.52---0.040.040.050.080.170.190.200.22------------------------------
0.300.330.370.340.340.430.480.480.500.580.680.720.550.640.720.670.730.960.860.860.931.10---0.040.050.050.090.200.240.260.28------------------------------
15.8415.0612.2714.3114.4014.7712.0615.6517.4817.3417.4316.5616.5914.6115.2114.9314.9412.2312.8014.3014.3511.6710.9711.8013.0414.0713.7114.9315.5714.5813.3313.8617.2815.7315.2614.7716.1914.1911.9712.7614.6513.5711.0713.1515.3313.4010.6112.1217.0711.829.9511.1418.6312.739.0512.6214.2813.6011.6313.8813.1211.183.60
5.325.820.834.315.466.401.666.749.3410.419.418.248.797.026.586.697.213.183.484.455.753.060.151.996.618.157.078.319.138.316.266.809.558.987.757.549.197.985.136.078.577.843.676.759.177.463.655.6410.566.453.415.0012.066.330.844.558.427.214.386.954.933.00-9.97
5.325.820.834.315.466.401.666.749.3410.419.418.248.797.026.586.697.213.183.484.455.753.060.151.996.618.157.078.319.138.316.266.809.558.987.757.549.197.985.136.078.577.843.676.759.177.463.655.6410.566.453.415.0012.066.330.844.558.427.214.386.954.933.00-9.97
---------------------------------------------------------------
5.015.080.312.904.825.311.395.778.859.938.947.908.396.736.015.776.371.261.743.184.751.660.151.796.648.027.168.389.108.256.196.789.559.066.767.549.218.055.186.158.797.903.766.819.067.593.845.8010.836.613.605.159.526.731.405.579.447.684.487.417.601.10-10.12
3.554.090.332.143.304.121.154.387.357.476.886.126.415.304.864.485.131.431.432.373.981.30-0.420.794.715.944.055.756.175.524.084.616.406.124.584.906.525.353.364.226.385.272.555.146.374.713.134.0710.014.462.293.3210.384.701.083.906.125.012.774.665.620.51-6.56
0.360.390.310.350.380.390.320.430.520.600.510.510.540.520.430.430.400.300.360.390.410.420.470.630.670.790.730.820.760.780.650.720.560.760.610.660.700.760.590.650.740.760.510.610.690.720.530.600.360.750.520.570.300.720.470.550.690.720.500.510.460.450.25
1.561.511.091.251.421.341.111.411.802.221.911.982.191.991.782.082.761.701.882.022.392.302.052.743.033.192.883.673.553.742.883.532.653.933.013.243.603.933.073.634.123.862.553.525.063.412.422.961.984.072.803.271.573.322.262.933.993.462.343.233.642.801.42
3.623.373.534.064.263.613.603.844.053.743.333.393.783.412.893.102.853.272.352.783.232.983.743.493.853.423.163.503.993.273.243.563.293.362.943.253.923.282.953.783.732.772.803.343.712.882.543.531.913.233.424.072.103.222.984.324.013.282.923.733.813.443.94
24.8926.6725.5122.1921.1424.9424.9723.4422.2324.0927.0026.5223.7926.3931.1529.0031.5327.5538.3032.3827.8930.2024.0425.8223.4026.3128.4925.7522.5527.5327.7525.2627.3326.7830.6527.7222.9427.4530.4923.8124.1432.5432.1526.9724.2631.2335.3925.5047.1127.8326.3422.1042.9127.9830.2220.8222.4327.4230.8424.1223.6026.1622.81
2.252.830.141.402.293.070.683.767.8310.068.167.827.856.635.054.785.101.081.272.444.411.54-0.280.724.557.174.567.627.587.564.715.946.556.624.004.616.485.952.973.916.835.981.964.176.185.812.373.294.005.081.762.692.664.970.743.096.185.512.023.363.510.31-2.17
6.418.470.434.577.7011.182.7317.2641.5079.51209-300.6151.6789.642,480215-262.01-13.16-18.72-28.35-39.59-10.12-0.461.197.5312.328.3614.6515.8217.5112.3617.1621.7910.686.758.1211.829.474.916.2211.119.783.337.179.919.924.315.596.939.153.304.834.779.051.415.928.117.282.704.274.450.39-2.83
1.301.570.070.771.261.590.351.893.804.473.473.153.482.722.061.972.070.410.480.921.630.53-0.200.503.174.672.944.744.674.282.663.313.564.662.853.234.594.102.082.784.744.021.382.764.163.781.572.272.743.331.201.891.863.390.502.164.213.641.382.392.610.23-1.64
1.772.180.101.061.732.160.472.565.266.384.904.565.094.082.972.892.990.560.701.332.320.74-0.280.724.556.884.367.246.946.303.814.735.106.624.004.616.485.952.973.916.835.981.964.176.185.812.373.294.005.081.762.692.664.970.743.096.185.512.023.363.510.31-2.17
76.9775.3573.9473.7474.7273.1370.7868.2367.0863.1159.1256.3253.2549.8146.9043.7242.4938.2538.4538.5038.0537.0436.1136.5236.7735.4033.1731.9629.9827.9926.1625.2124.1122.7921.5620.9720.3320.0219.0818.7818.3317.2916.4616.3616.7815.8115.1616.4916.0815.3914.7515.1414.9814.4113.7713.7512.7712.0311.4712.5712.7212.3112.33
10.163.86-0.821.1118.238.813.441.7417.9211.585.360.759.453.14-1.59-1.469.764.280.10-0.949.403.192.55-0.308.833.731.080.257.953.461.000.026.492.750.990.364.651.710.990.942.80-0.63-0.330.112.730.840.030.272.200.700.660.412.07-0.89-0.380.181.89-0.02-0.360.330.880.040.18
8.032.35-2.050.4014.616.091.640.7613.828.493.25-0.027.181.72-2.44-1.898.343.37-0.49-1.167.043.211.51-0.956.281.91-0.05-0.335.862.050.12-0.395.512.010.520.063.871.170.690.782.39-0.98-0.560.012.280.57-0.160.162.030.590.600.371.48-1.39-0.83-0.121.76-0.09-0.460.330.830.000.17