TIM S.A Financial Ratios for Analysis 2009-2024 | TIMB

Fifteen years of historical annual and quarterly financial ratios and margins for TIM S.A (TIMB).

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
0.890.791.451.251.040.851.051.391.391.221.331.351.221.131.18
0.330.360.310.260.250.120.220.300.300.260.210.200.170.180.25
0.620.700.510.460.440.180.360.500.560.440.330.320.280.310.50
51.7650.5153.2553.6957.2254.6552.3250.7451.5382.8745.6886.1287.9192.9089.82
19.7914.6820.8016.2325.9814.2411.919.1218.9312.7512.2412.3712.108.303.75
19.7914.6820.8016.2325.9814.2411.919.1218.9312.7512.2412.3712.108.303.75
49.6546.3952.3248.2455.5037.5236.6333.3638.5528.4026.1426.7027.1629.0123.53
13.367.9917.1811.5426.1011.078.846.4917.3911.2510.7211.4810.736.601.82
11.917.7616.3810.5920.8414.997.604.8112.087.937.567.727.5315.301.77
0.430.380.360.410.430.530.500.450.480.600.710.720.730.750.75
34.6545.1341.6832.4336.5742.0762.5353.4558.6112.6536.469.687.554.493.27
6.296.255.835.585.405.906.225.206.005.515.135.145.195.265.26
58.0558.4562.5765.4467.5961.9158.6770.1760.8766.2271.1671.0270.2869.4169.33
10.916.5811.787.8916.1512.866.804.3712.238.369.2410.479.5921.472.91
27.3118.6020.3612.9228.3827.9318.0511.4529.7021.3416.5418.4717.3038.356.34
5.132.965.944.398.987.963.792.175.853.924.805.565.3011.411.39
7.284.218.175.8712.0811.315.323.078.596.167.348.398.0017.582.19
10.7610.169.619.2911.7411.1911.7410.1810.68------
5.143.773.863.483.703.463.782.962.705.695.085.295.483.973.06
3.281.881.841.921.681.300.890.371.27-0.341.651.281.491.570.67

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
0.880.810.890.790.700.740.790.900.901.561.452.061.861.271.251.441.341.211.040.921.061.010.850.931.051.061.051.311.331.391.391.471.521.411.391.431.491.351.221.601.591.461.331.531.491.531.351.271.291.341.221.371.381.211.131.391.291.201.181.181.261.14
0.340.340.330.340.350.360.360.380.380.320.310.290.300.240.260.250.270.280.250.250.270.290.120.140.190.200.220.250.270.340.300.290.290.290.300.230.250.270.260.250.260.200.210.220.210.200.200.150.160.160.170.190.180.170.180.220.230.240.250.210.240.23
0.610.630.620.680.710.720.700.690.690.520.510.480.530.470.460.450.480.420.440.450.440.470.180.220.300.320.360.430.460.600.500.460.480.520.560.410.410.450.440.420.430.320.330.320.340.310.320.260.270.270.280.320.290.300.310.390.490.480.500.450.470.46
53.7551.5653.4953.1249.9850.1550.7549.9450.1351.3455.0253.6252.4451.7754.8353.2553.1753.4764.2154.9756.3953.2952.0955.0455.4055.9354.8953.6751.4749.0954.9350.5747.5249.4336.7051.0648.9567.4321153.0848.7145.71-5.1543.0660.7286.4680.7885.3890.5493.9185.2486.3385.0686.0099.7089.4390.6289.4493.3386.7277.4189.66
21.8018.2626.5420.1317.7213.8216.7513.5813.6414.7037.1016.7415.0513.6621.8415.5715.7912.2227.8215.1750.6210.7118.5013.5912.4212.6217.2813.0610.086.9314.078.597.595.4820.8716.7829.025.765.012.3012.8516.8510.0414.981.8111.0918.4311.547.585.5817.6911.7313.5914.4314.137.045.366.678.706.3512.27-1.54
21.8018.2626.5420.1317.7213.8216.7513.5813.6414.7037.1016.7415.0513.6621.8415.5715.7912.2227.8215.1750.6210.7118.5013.5912.4212.6217.2813.0610.086.9314.078.597.595.4820.8716.7829.025.765.012.3012.8516.8510.0414.981.8111.0918.4311.547.585.5817.6911.7313.5914.4314.137.045.366.678.706.3512.27-1.54
--------------------------------------------------------------
14.679.6519.0313.4210.469.8610.836.415.469.4533.3112.0614.238.4621.3510.019.036.1822.569.0169.074.4417.4810.588.068.4814.489.436.854.3211.596.643.273.7015.4213.3630.3110.5614.1911.2910.4011.0913.918.7911.6510.0913.0610.9311.2511.2111.9410.3311.277.9813.155.354.342.066.990.960.62-3.37
12.408.5217.0711.8210.687.319.407.985.218.5821.0622.0015.256.3823.528.896.533.8420.5912.9547.442.8616.5831.438.045.9514.386.835.553.348.744.721.953.3211.548.6621.286.888.917.187.667.919.636.207.806.509.206.737.636.198.647.248.235.6948.013.422.870.927.991.82-0.46-4.78
0.120.110.110.110.110.100.100.100.100.100.090.100.100.110.100.110.100.110.110.110.110.110.130.140.130.130.130.130.120.120.120.120.120.120.100.120.130.130.130.150.160.180.170.200.170.180.190.200.190.190.190.220.230.210.210.230.210.200.220.240.250.21
7.017.308.846.837.839.3411.8910.119.5610.3510.269.059.296.957.919.929.167.307.709.258.709.1210.9112.6010.7212.0815.2416.0111.8011.7313.0311.0711.6010.7014.8712.626.794.33-16.048.246.637.3817.417.055.841.952.702.122.011.411.841.691.691.100.101.731.560.990.630.841.060.75
1.481.481.661.691.571.661.651.661.531.561.491.671.561.541.391.441.351.331.361.341.391.361.451.591.631.611.601.671.441.321.391.371.391.371.230.930.910.861.211.281.331.421.200.981.001.191.381.191.221.231.381.391.461.461.501.361.321.441.541.431.481.33
60.8760.7054.0853.2257.3254.1454.4254.0958.7457.8160.2954.0357.7658.4464.5362.4466.4467.7166.2267.2264.6066.0162.2156.5455.3355.9956.1753.9862.5568.3464.9465.8464.6565.8373.2597.2298.6210574.3970.4067.7563.5775.2591.8489.5775.4865.3875.3974.0873.3165.0564.9061.6761.8560.0966.3768.0562.7158.5063.1460.6567.86
3.072.084.142.802.471.642.111.771.101.603.884.032.831.184.381.681.140.724.012.589.220.603.496.821.811.343.311.571.250.762.121.080.440.772.392.095.591.882.492.072.492.633.062.282.462.153.342.332.471.963.032.833.262.1519.191.451.190.373.660.82-0.22-1.87
7.605.4310.377.316.754.645.974.792.922.756.705.714.121.897.172.741.921.247.054.7117.101.267.5815.084.343.328.794.083.362.105.552.861.151.965.814.9713.654.756.353.584.374.665.484.124.413.735.904.034.393.455.474.705.553.7234.282.862.460.787.961.89-0.54-4.72
1.450.961.951.281.120.730.950.820.510.831.952.261.530.672.440.980.650.412.231.445.270.332.164.331.070.761.840.870.680.401.050.560.230.381.141.042.760.921.171.071.261.441.591.251.351.201.781.351.461.151.681.581.871.2010.200.790.610.191.750.43-0.12-1.01
2.011.362.761.841.611.041.351.100.681.092.692.851.990.893.261.260.840.523.001.926.700.433.075.861.481.082.591.170.920.501.490.770.310.541.681.614.191.371.831.551.842.112.431.791.941.732.681.992.071.642.532.292.671.7915.721.130.910.282.750.65-0.17-1.44
10.0810.4410.7610.8210.5710.0310.169.9710.6310.029.619.749.278.879.298.948.8010.5411.7411.3411.5610.9211.1910.2510.6011.6811.7411.6411.2711.3910.1810.819.898.86----------------------------
1.710.695.143.201.710.793.772.021.030.443.862.751.630.743.484.271.070.233.701.800.710.163.461.680.860.423.781.440.25-0.482.961.470.24-0.432.721.132.10-0.535.692.230.62-0.905.081.82-0.11-1.245.801.900.43-1.065.172.790.87-1.533.972.000.701.180.003.341.890.80
0.810.123.281.840.780.271.880.880.03-0.081.841.510.760.241.922.190.47-0.191.680.49-0.13-0.191.300.39-0.050.030.89-0.18-0.69-0.920.37-0.25-0.69-0.801.280.650.71-1.19-0.34-0.15-0.91-1.431.65-0.46-1.71-1.731.40-0.52-1.27-1.691.410.21-0.66-0.951.570.01-0.670.06-1.230.39-0.18