Teekay Financial Ratios for Analysis 2009-2024 | TK

Fifteen years of historical annual and quarterly financial ratios and margins for Teekay (TK).

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
5.333.551.540.760.981.310.610.780.700.980.861.021.121.091.02
0.060.260.220.260.610.620.560.590.630.640.640.630.630.580.61
0.080.400.410.391.831.771.591.722.011.982.091.941.841.551.68
46.2932.948.2633.2238.9934.4246.5152.1855.1849.6344.1545.3642.2744.5738.18
36.3020.65-27.166.1210.499.5114.7616.5025.5121.423.43-7.595.4911.177.78
36.3020.65-27.166.1210.499.5114.7616.5025.5121.423.43-7.595.4911.177.78
42.9528.97-11.6117.5925.4325.4940.5939.8545.0840.5823.6111.7424.8329.9024.34
36.1517.73-41.38-1.64-6.35-2.20-27.494.7715.866.732.10-16.43-18.83-8.2510.66
10.286.591.14-7.24-15.96-4.58-8.68-5.513.34-2.75-6.27-8.09-18.15-12.755.89
0.670.550.100.170.240.210.230.180.190.170.160.180.180.210.23
14.7813.1212.77------------
12.448.4511.388.039.739.9311.767.886.205.273.464.035.498.179.30
29.3543.1932.0645.4837.5236.7531.0346.3058.8469.2310590.6066.4544.6739.26
28.7415.31-11.41-0.98-5.79-2.01-18.372.1210.963.661.11-9.75-11.39-5.006.78
29.1415.60-11.53-1.00-6.11-2.15-19.292.2711.853.971.21-10.73-12.55-5.617.83
23.569.68-4.25-0.35-1.85-0.69-6.540.683.101.050.31-2.83-3.38-1.682.20
26.9611.38-8.90-0.73-2.26-0.77-8.090.864.041.310.40-3.65-4.21-2.092.61
19.7813.9323.9524.4425.5228.5532.3147.4750.9046.7445.2945.7948.0746.2742.59
6.551.910.769.743.811.836.307.8410.526.194.154.171.535.655.04
6.692.551.1210.433.03-4.84-5.052.84-13.73-5.11-5.870.23-8.751.921.27

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
7.017.395.334.654.143.873.552.932.512.351.540.630.590.600.760.750.901.060.980.680.670.881.311.160.811.140.610.700.550.730.780.770.780.650.700.610.770.800.980.870.960.720.860.830.771.031.020.930.921.201.121.270.750.841.091.221.271.381.021.001.01-
--0.060.070.100.170.260.280.320.320.220.560.560.550.260.570.580.610.610.620.600.620.620.610.580.560.560.560.600.600.590.620.620.630.630.620.630.650.640.670.680.640.640.650.620.640.630.580.630.630.630.650.580.570.580.620.610.610.610.630.62-
--0.080.090.130.230.400.480.570.570.411.491.491.460.391.511.551.781.831.931.751.841.771.721.621.571.591.631.851.761.721.901.932.062.012.041.982.141.982.262.362.142.092.211.972.011.941.621.921.861.842.041.611.541.551.771.701.691.681.811.75-
43.7346.2941.0938.3950.2152.7048.3133.4323.8615.8011.390.111.4217.1598.9940.9151.8647.4145.6332.7536.2339.2836.5335.7031.6333.2045.8945.7745.6948.3349.4749.7553.6755.2354.1053.1456.8856.9954.1547.5445.8650.1547.1140.3942.2646.5244.8044.4846.0946.0538.0244.5942.2544.7344.0139.8847.0246.5338.2436.7639.2738.33
31.3538.4833.3026.0739.8842.9537.6527.509.54-5.91-14.10-30.70-63.74-7.8471.172.8730.7622.4531.34-30.6215.4517.3017.3413.220.474.70105-37.919.4015.0115.0716.3912.9321.1121.5726.3529.6125.1827.0618.0317.5722.090.10-6.586.8213.92-65.9310.3114.0215.5620.22-16.318.697.076.240.6717.0218.452.244.9110.8512.25
31.3538.4833.3026.0739.8842.9537.6527.509.54-5.91-14.10-30.70-63.74-7.8471.172.8730.7622.4531.34-30.6215.4517.3017.3413.220.474.70105-37.919.4015.0115.0716.3912.9321.1121.5726.3529.6125.1827.0618.0317.5722.090.10-6.586.8213.92-65.9310.3114.0215.5620.22-16.318.697.076.240.6717.0218.452.244.9110.8512.25
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34.9739.7034.6626.3139.8341.2036.8427.176.23-15.87-30.46-45.32-79.16-18.4647.27-9.5022.449.7223.93-40.58-6.64-11.59-0.750.62-7.62-1.49-8.93-75.45-23.592.0227.9114.61-14.44-5.9520.57-2.3236.447.850.6618.55-2.7110.25-1.61-18.7720.769.37-61.46-1.37-9.089.3210.93-72.81-21.312.7834.84-43.63-27.271.1616.53-30.9735.5017.95
10.3714.9710.438.3910.2011.659.9410.931.880.42-8.85-1.96-1.2016.246.33-8.934.50-8.681.99-46.54-8.54-17.31-3.58-2.88-6.98-5.22-7.85-2.51-15.60-8.33-0.491.11-14.09-7.615.43-2.0011.12-1.79-2.510.48-9.51-0.10-14.36-10.802.64-1.36-17.91-4.31-9.710.2110.96-62.20-19.89-6.0817.09-39.76-27.73-2.445.60-28.4329.9313.22
0.150.170.150.150.190.190.180.150.140.110.030.020.020.03-0.040.060.070.070.070.050.060.060.060.050.050.050.040.070.040.040.040.040.050.050.050.050.050.040.050.040.040.040.040.040.040.040.050.040.040.040.050.050.050.050.050.050.060.060.060.050.06-
3.693.573.753.723.473.073.343.052.522.863.55---------------------------------------------------
2.833.352.882.312.612.322.793.142.392.933.281.761.271.09-2.152.462.362.792.852.862.474.062.942.632.37-2.023.642.031.831.871.781.621.451.771.781.591.511.441.210.811.010.930.820.780.841.061.161.291.511.491.781.821.721.962.392.232.312.272.782.81-
31.8326.8931.2638.9534.5238.8732.2128.6737.6030.7127.4651.1971.0982.60-41.8536.5638.2032.2331.5631.4736.4122.1530.5834.2137.98-44.6624.7044.2449.1048.1450.6855.7262.2650.7850.6856.7159.5762.4674.3011189.2596.3911011510784.5777.4869.5159.5860.5250.6149.5852.2545.9237.6540.3939.0039.6832.4032.01-
5.507.596.394.979.1811.1310.506.561.60-2.98-2.40-2.70-4.85-1.31-6.49-1.644.852.094.76-7.18-1.28-2.23-0.22-0.06-1.35-0.330.83-14.61-3.19-1.113.232.10-2.30-1.084.40-0.465.921.310.072.73-0.501.54-0.22-2.732.711.26-9.67-0.29-1.301.491.77-12.05-3.200.385.33-7.20-4.800.442.50-5.616.38-
5.607.706.475.049.3411.3010.706.711.63-3.04-2.42-2.85-5.12-1.39-6.59-1.725.112.215.02-7.61-1.35-2.37-0.24-0.06-1.41-0.350.87-15.44-3.41-1.193.452.26-2.48-1.174.76-0.496.371.420.082.97-0.551.69-0.24-3.002.971.39-10.64-0.31-1.431.641.95-13.52-3.580.425.97-8.28-5.540.512.88-6.607.49-
4.906.795.234.027.077.816.644.000.91-1.69-0.89-1.01-1.80-0.49-2.31-0.581.710.681.52-2.21-0.42-0.72-0.08-0.02-0.48-0.120.30-5.16-0.98-0.351.030.62-0.67-0.301.25-0.131.720.360.020.73-0.130.42-0.06-0.740.790.36-2.80-0.09-0.380.450.53-3.37-1.060.131.79-2.17-1.510.140.81-1.722.02-
5.507.595.994.638.269.217.814.701.08-2.02-1.87-1.18-2.15-0.60-4.82-0.702.030.821.85-2.71-0.51-0.86-0.08-0.02-0.57-0.150.37-6.40-1.28-0.451.310.80-0.88-0.401.62-0.172.200.460.030.90-0.160.55-0.08-0.951.030.46-3.62-0.12-0.490.560.65-4.18-1.350.162.23-2.71-1.860.170.96-2.102.43-
21.8421.3019.7818.6017.6915.9013.9312.2711.1110.9423.9524.2224.2825.2024.4425.0225.5924.5925.5224.3026.5227.3728.5529.0729.2129.7132.3130.4045.3747.2547.4744.6044.1949.6350.9050.1949.9946.0946.7444.4342.8344.1845.2943.8545.7444.9145.7952.1647.0548.6548.0741.2347.0947.1146.2740.4641.5043.1642.5940.7341.81-
3.061.376.555.233.721.551.910.53-0.13-0.150.760.450.19-0.209.748.847.674.353.812.541.781.051.830.841.100.346.305.093.241.257.845.934.222.0310.528.714.582.506.193.952.801.454.151.340.94-0.484.173.782.010.811.530.700.10-1.295.654.753.021.305.044.113.151.88
3.261.616.695.163.691.542.551.210.23-0.031.120.740.440.1110.439.268.144.873.031.560.89-0.19-4.84-4.78-2.04-1.39-5.05-2.18-0.31-1.212.841.412.580.34-13.73-12.78-7.19-6.54-5.11-3.72-3.27-0.04-5.87-5.81-3.00-1.200.231.082.012.93-8.75-6.91-4.88-2.281.923.022.130.831.270.901.140.67