Team Financial Ratios for Analysis 2009-2024 | TISI

Fifteen years of historical annual and quarterly financial ratios and margins for Team (TISI).

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
2023202220212020201920182017201620152015201420132012201120102009
1.840.772.142.132.112.542.692.72-3.163.313.393.553.193.503.35
0.870.040.890.590.430.440.450.39-0.190.190.200.260.270.220.34
6.832.437.821.460.760.780.810.69-0.230.230.250.350.360.290.58
24.4824.0022.3728.0028.1726.3325.8327.45-30.6429.6129.8131.2730.9329.9731.57
-1.54-4.74-15.98-25.50-0.18-3.12-9.59-0.26-8.137.137.789.068.365.468.29
-1.54-4.74-15.98-25.50-0.18-3.12-9.59-0.26-8.137.137.789.068.365.468.29
5.023.96-0.873.424.692.641.283.85-10.8610.0210.5711.9011.298.2810.77
-8.25-17.47-22.17-29.55-2.82-7.56-11.46-1.31-7.526.197.278.427.914.507.32
-8.788.34-23.42-27.82-2.79-5.06-7.04-1.06-4.763.984.545.285.232.704.60
1.521.361.121.171.181.281.141.04-1.611.551.551.541.431.711.80
16.7717.5817.4316.6621.3218.9317.9117.51-22.4620.6618.9117.1616.4516.1117.33
4.744.484.604.364.734.643.964.55-3.954.274.153.963.554.154.30
76.9481.4479.3183.7277.1678.6592.1080.30-92.3085.5187.9492.2410387.9584.90
-166.07-127.45-356.38-110.53-7.42-13.81-17.70-2.35-12.089.5111.2013.5012.717.4315.64
443-354.37507-1,187.80-86.11-143.26-262.21-335.34-19.5316.7720.1025.1525.3311.3725.72
-13.38-24.34-26.16-32.45-3.29-6.46-8.00-1.10-7.736.227.118.197.494.638.30
-21.52-122.32-40.44-45.03-4.25-7.76-9.76-1.42-9.797.728.969.999.335.7610.27
10.3327.1116.6269.51143151159180-16515514312310887.0077.77
-2.51-13.84-11.4417.2219.4113.94-4.6028.320.0020.0824.8327.7117.7414.1822.4519.75
-4.80-18.01-15.9911.5710.145.75-15.8413.52-6.859.4915.756.277.6318.5011.45

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-11-302015-09-302015-08-312015-06-302015-05-312015-03-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
1.821.741.841.972.060.720.770.630.592.032.141.771.731.982.132.362.112.142.112.072.392.182.542.612.862.672.692.682.582.442.722.813.213.64-3.62-3.55---4.133.363.82-3.883.624.27-4.243.784.12-4.003.673.86-3.643.453.74-4.043.953.53-3.16
0.930.920.870.820.790.050.04-0.200.890.940.890.830.680.650.590.610.590.600.430.440.450.450.440.460.460.460.450.450.410.390.390.400.420.43-0.52-0.52---0.210.200.18-0.220.230.23-0.240.280.25-0.270.250.25-0.260.290.19-0.270.300.30-0.38
13.4111.686.834.663.893.072.43-17.7989616.867.824.822.121.821.461.611.491.540.760.790.810.810.780.860.860.850.810.810.730.670.690.710.770.80-1.08-1.09---0.270.250.22-0.280.300.30-0.320.380.34-0.380.330.33-0.360.410.23-0.370.450.47-0.66
27.8024.4123.5625.5425.4423.2424.7825.6623.5221.7616.4122.4926.2822.4529.0129.0830.3124.2729.2428.6329.9524.4627.5724.1128.2624.9825.8024.1827.1126.1027.2626.4929.3326.30-29.9828.5928.3432.06-28.0926.7632.7729.94-25.5432.3328.11-25.7631.1330.67-26.8131.8731.50-28.2532.8630.18-27.3932.0029.16-28.73
4.88-3.20-4.14-0.611.92-3.83-2.31-0.79-4.87-11.85-14.96-36.50-2.51-12.49-1.141.05-2.31-89.911.12-0.634.12-6.13-2.24-6.770.52-4.67-0.70-33.02-2.14-4.22-1.78-1.404.16-2.94-6.912.822.009.36-4.001.6811.926.29-0.6111.914.65-0.4011.487.94-2.5310.798.33-2.9810.396.45-2.018.342.62-3.33
4.88-3.20-4.14-0.611.92-3.83-2.31-0.79-4.87-11.85-14.96-36.50-2.51-12.49-1.141.05-2.31-89.911.12-0.634.12-6.13-2.24-6.770.52-4.67-0.70-33.02-2.14-4.22-1.78-1.404.16-2.94-6.912.822.009.36-4.001.6811.926.29-0.6111.914.65-0.4011.487.94-2.5310.798.33-2.9810.396.45-2.018.342.62-3.33
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-0.56-8.58-10.54-5.35-5.71-11.79-27.36-11.52-11.74-20.00-25.64-41.97-6.96-17.80-6.65-2.79-6.26-92.97-1.55-3.311.62-8.86-4.42-9.57-10.31-5.70-4.83-33.53-3.55-5.44-2.78-2.483.20-4.12-6.031.581.019.14-2.900.3011.405.86--0.9411.444.08--0.5711.097.52-2.1410.507.73-2.5310.066.07--0.627.771.84-2.23
-1.21-8.61-10.80-5.87-6.58-12.2269.56-10.48-9.73-17.17-26.44-46.08-7.32-17.62-7.18-4.14-7.15-84.33-2.51-2.431.93-8.991.29-8.09-9.11-4.066.22-29.30-3.55-3.32-2.93-1.462.19-2.56-4.091.050.645.91-1.720.177.223.74--0.627.192.59--0.356.954.68-1.476.534.82-3.586.053.64--0.414.741.11-2.09
0.420.370.380.370.410.350.340.310.310.260.230.290.300.260.280.290.260.300.290.290.310.260.320.280.330.290.300.270.280.260.280.240.280.21-0.34-0.28---0.360.450.39-0.350.410.37-0.340.430.40-0.360.430.40-0.340.420.42-0.400.460.39-0.39
4.253.904.213.964.724.094.374.394.684.063.854.134.654.123.994.273.584.725.204.794.814.114.624.284.704.414.724.184.444.204.694.064.382.80-6.91-5.46---4.556.064.98-4.625.094.67-4.185.204.31-4.284.804.35-3.744.353.71-3.864.293.59-3.70
1.181.141.181.111.211.131.131.161.010.890.940.961.090.991.061.020.960.991.171.091.171.101.150.961.061.051.041.011.111.051.211.051.150.82-1.15-1.06---0.991.111.09-1.031.091.04-0.971.111.03-1.021.091.10-1.061.171.12-0.991.051.02-0.96
75.9778.9476.4281.4374.3579.6679.8577.5189.2810195.3893.5082.4090.9084.8988.4794.1691.0776.9182.8976.6681.5678.0693.4284.5886.0186.1789.3481.1885.3874.0985.3678.15110-78.21-84.93---90.8381.1782.89-87.1182.8686.23-92.3881.3587.38-88.2682.7081.76-85.1276.6080.26-90.5385.9487.89-93.59
-11.57-65.40-50.72-18.78-19.72-26.25-48.3592.66-5,136.89-141.61-82.16-119.90-10.42-18.75-6.93-4.25-6.18-87.82-1.66-1.611.36-5.550.87-5.39-6.87-2.734.12-18.42-2.11-1.79-1.58-0.831.27-1.19-3.36-0.43---0.105.162.16--0.324.851.51--0.195.082.98-0.854.613.12-2.034.252.26--0.273.670.75-1.64
8.4851.691351,010-144.94-112.66-134.4224.8126.3045.2311717490.99464-74.49-53.36-67.73-774.29-19.22-18.3314.95-90.209.04-159.51-114.97-104.7361.06-1,790.53568-407.20-225.20-32.5133.21-7.50--149.85--4.71---0.188.483.72--0.599.032.84--0.379.745.43-1.728.465.97-4.419.373.43--0.435.881.22-2.71
-0.50-3.21-4.09-2.16-2.69-4.30-9.23-3.73-3.90-5.35-6.03-13.20-2.17-4.66-2.04-1.21-1.83-25.36-0.73-0.700.59-2.380.41-2.30-2.96-1.181.86-7.97-0.98-0.85-0.74-0.380.57-0.56-1.40-0.18---0.073.291.47--0.212.990.96--0.122.991.88-0.522.851.95-1.242.521.51--0.162.160.43-0.83
-0.82-5.27-6.57-3.37-4.08-24.97-46.40111-541.83-7.94-9.32-20.63-3.34-6.65-2.82-1.64-2.51-34.87-0.95-0.900.75-3.060.49-2.89-3.70-1.472.27-10.19-1.25-1.10-0.96-0.490.73-0.68-1.61-0.21---0.084.121.78--0.253.721.16--0.153.672.23-0.623.472.34-1.503.021.84--0.202.580.53-1.02
5.405.9510.3314.7918.2921.6127.11-6.650.136.2816.6224.3554.2059.1969.5169.7171.4874.26143145148144151145152150159152176178180186188186-161-156---157164158-148148145-137136129-118115112-99.4498.2188.99-83.8083.9179.16-70.77
-1.010.43-2.51-5.05-5.41-4.09-13.84-10.73-12.36-13.26-11.44-11.58-11.25-5.5617.226.588.900.3019.4110.901.832.5213.941.77-5.920.72-4.60-3.41-4.23-0.8628.3220.6612.898.950.006.2712.234.5810.150.004.5914.364.182.290.0019.129.990.020.0017.939.393.180.0015.749.427.700.0019.4910.109.290.0017.397.179.430.0018.68
-2.28-0.26-4.80-6.66-6.50-4.63-18.01-13.93-14.42-14.34-15.99-15.52-14.21-6.6611.571.204.88-2.4210.143.51-2.640.355.75-4.21-9.45-1.11-15.84-11.44-9.63-4.2713.529.715.844.64--1.470.461.741.56-1.075.77-1.03-0.28-8.003.67-2.82-9.123.370.43-8.214.305.20-15.547.538.11-14.585.188.46-11.99