Timken Financial Ratios for Analysis 2009-2024 | TKR

Fifteen years of historical annual and quarterly financial ratios and margins for Timken (TKR).

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
1.792.472.472.362.542.532.232.682.392.781.983.242.803.373.74
0.400.450.370.390.460.500.370.330.300.250.060.170.190.200.23
0.890.830.620.700.891.020.650.500.490.330.170.210.250.260.32
31.6429.6227.8128.7530.1329.0527.0426.4628.5329.1928.6130.6026.4925.1918.55
13.7813.5012.4212.9513.6312.699.979.158.916.7710.0813.2214.1010.76-1.72
13.7813.5012.4212.9513.6312.699.979.158.916.7710.0813.2214.1010.76-1.72
18.0017.1416.4817.7017.8616.7714.5514.0913.4611.2314.7717.6717.8315.434.69
11.1212.2511.5311.2812.4611.408.657.557.586.639.5615.4113.4810.00-3.00
8.269.068.938.109.558.466.775.276.575.558.6514.758.766.75-4.27
0.730.780.800.700.780.810.880.971.031.020.680.791.190.970.78
2.652.662.862.983.153.042.973.553.783.723.722.703.943.663.81
5.845.605.655.085.625.405.726.106.326.476.846.158.017.857.64
62.4765.2264.5571.8964.9467.6063.7859.8857.7756.4453.3959.4045.5746.4947.77
15.1017.7216.0413.1419.1718.6013.7210.7614.239.406.6314.7622.3613.88-4.14
13585.2255.6067.03185-534.0937.2920.6825.6613.708.3819.7030.9716.97-5.31
6.247.227.385.807.716.875.955.116.874.973.927.8110.556.45-1.65
9.089.7710.077.9910.409.318.697.259.957.076.2112.2718.1111.12-3.20
38.5432.4231.5429.4025.8821.6318.9816.9316.7517.9428.4423.4320.9119.8516.47
7.566.245.037.567.154.243.005.104.463.374.496.392.123.216.11
4.983.973.115.995.412.831.763.383.332.183.175.200.042.044.95

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
2.951.871.791.732.652.762.472.032.692.942.472.602.562.342.362.653.022.722.542.572.682.812.532.722.392.342.232.593.092.552.682.722.602.882.392.282.422.632.782.671.841.901.982.103.023.063.242.802.862.842.802.683.273.253.373.313.583.433.742.632.262.12
0.420.400.400.380.440.450.450.390.430.430.370.370.380.390.390.420.470.480.460.460.480.510.500.510.360.370.370.400.400.310.330.320.310.330.300.320.290.270.250.240.090.070.060.080.160.160.170.160.170.180.190.180.180.190.200.210.220.220.230.230.140.14
0.740.880.890.850.790.830.830.820.790.760.620.610.640.710.700.770.911.050.890.910.951.041.021.050.670.690.650.690.710.470.500.490.470.500.490.540.470.370.330.320.270.180.170.200.200.200.210.210.210.230.250.230.240.250.260.270.300.320.320.500.370.39
31.6033.4030.3631.1231.8633.0128.4529.3530.5530.0827.7925.8328.4429.1826.5829.4828.6630.2028.5730.3630.5730.8927.9628.7429.5030.0027.3428.0126.7925.8925.8125.8127.3926.7730.3127.6228.1728.0328.9728.6229.6029.6036.0227.6230.2825.1925.7826.1628.0928.9727.0925.9726.3626.5824.8125.0226.5324.3722.3616.9617.0217.84
14.1415.5110.9213.0915.7714.8611.7411.5915.2515.328.5511.9814.3014.7011.0813.3014.3613.1810.4313.9914.5115.3011.4712.3313.8313.1510.2110.4710.188.948.928.6910.938.0836.919.4310.01-20.406.65-0.7711.589.837.998.0511.8210.9810.5811.7514.7117.3613.4114.1514.3414.509.6711.5012.529.22-2.690.34-7.232.01
14.1415.5110.9213.0915.7714.8611.7411.5915.2515.328.5511.9814.3014.7011.0813.3014.3613.1810.4313.9914.5115.3011.4712.3313.8313.1510.2110.4710.188.948.928.6910.938.0836.919.4310.01-20.406.65-0.7711.589.837.998.0511.8210.9810.5811.7514.7117.3613.4114.1514.3414.509.6711.5012.529.22-2.690.34-7.232.01
--------------------------------------------------------------
11.6612.885.6410.8713.8813.3211.4710.3012.9714.248.6110.8012.8513.788.4113.1811.1812.3011.7311.1812.8513.948.7811.0413.4712.327.359.759.857.62-1.867.4810.3513.8734.908.189.15-21.615.63-1.5710.8011.988.187.4810.9910.449.6711.2122.0316.7112.6113.7913.8213.659.3310.4611.888.16-4.94-1.56-8.332.00
8.148.705.387.699.849.688.987.669.1010.516.248.499.8611.055.959.937.708.7412.667.029.259.386.598.1210.049.083.756.9410.995.43-1.055.117.169.6331.318.965.04-18.716.10-2.787.9411.3312.467.1410.466.886.977.0613.6210.938.608.379.118.958.326.638.463.13-2.60-6.57-8.750.10
0.180.180.170.180.200.220.190.220.210.210.190.200.210.200.180.180.160.190.180.200.210.210.200.200.260.250.230.230.230.250.240.230.240.240.260.240.250.260.250.250.240.170.090.170.190.260.250.270.300.320.290.320.320.300.260.250.250.230.190.170.170.20
0.660.640.620.650.690.700.650.710.690.710.700.790.830.840.780.800.730.790.760.790.820.810.780.750.820.800.770.810.890.920.880.850.880.910.920.860.910.900.920.910.890.630.460.620.670.980.930.911.021.020.961.031.051.000.971.031.061.000.900.880.660.67
1.261.321.341.361.361.451.351.391.341.351.381.321.321.241.291.261.201.291.331.311.351.331.371.281.711.651.481.421.501.431.501.451.491.471.571.511.491.471.601.611.621.190.951.231.271.801.981.811.881.861.961.851.851.862.071.922.021.871.881.671.581.61
71.4068.4467.3266.3666.0562.2366.8364.8767.3766.6265.3068.1968.1572.4669.8471.6974.8069.7067.7268.9266.8967.4765.5870.0552.6554.5360.7263.2660.1663.0160.2061.9960.4361.1857.2759.7760.2761.2256.1755.8255.4875.5194.5173.0670.9950.1445.5549.6147.9548.2645.9448.7448.6648.2643.4246.9044.5248.1747.7854.0356.8155.96
3.464.042.293.504.895.164.214.154.615.182.813.854.535.162.494.353.144.426.033.675.325.593.704.415.925.221.913.725.782.81-0.532.493.554.7816.664.772.75-9.522.62-0.623.192.310.391.472.383.233.363.467.927.105.305.045.545.514.464.024.941.76-0.45-1.19-2.40-0.09
16.1228.2120.5422.4922.5020.7720.2514.9416.8717.519.7213.8417.0622.7912.6826.8025.7847.4358.1441.69115246-106.29-106.1713.7213.155.1810.4710.825.20-1.014.646.248.4230.038.644.24-14.503.82-0.854.602.950.491.953.194.284.484.5310.449.557.356.566.596.645.455.016.252.24-0.58-1.54-3.19-0.12
1.551.690.951.462.072.151.721.711.942.231.291.782.082.271.101.861.261.692.421.462.032.041.371.612.602.270.831.612.531.35-0.251.211.722.318.052.191.31-4.781.39-0.331.761.360.230.831.351.801.781.924.163.572.502.722.932.722.071.702.050.72-0.18-0.43-0.91-0.03
2.012.441.382.172.762.852.322.522.622.971.762.412.833.161.512.511.672.283.271.982.772.761.852.183.783.301.212.243.461.95-0.351.692.453.2111.643.261.96-6.961.97-0.472.912.140.361.351.992.702.792.896.585.834.304.134.534.463.573.183.841.37-0.35-0.92-2.07-0.08
42.0638.8438.5436.8137.2033.6532.4229.9531.1731.7731.5431.3331.0429.6129.4027.8526.2025.3225.8824.1323.4622.4121.6321.3420.1319.8818.9818.7618.2417.3716.9317.5617.3617.3616.7516.2916.2216.3917.9418.5419.8728.6528.4425.0124.5024.1623.4324.4723.7922.5220.9122.7822.4821.1019.8518.4817.1416.8316.4716.4316.5416.64
2.450.707.565.833.071.076.243.011.04-0.025.033.702.310.417.565.994.010.747.154.632.720.684.242.490.74-0.563.001.811.450.595.103.552.570.604.462.931.220.193.372.181.270.434.492.621.42-0.396.463.772.41-0.392.12-0.68-1.65-2.003.213.211.69-0.146.114.412.640.35
1.330.074.983.971.810.503.971.400.03-0.473.112.351.530.035.994.873.260.325.413.552.210.502.831.690.23-0.781.761.020.980.353.382.491.940.303.332.280.780.002.181.380.860.293.171.670.77-1.045.261.861.25-0.850.04-1.70-2.20-2.202.042.601.29-0.294.953.602.120.03