Tempur Sealy Financial Ratios for Analysis 2009-2024 | TPX

Fifteen years of historical annual and quarterly financial ratios and margins for Tempur Sealy (TPX).

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
1.211.221.210.991.161.201.051.191.131.341.653.842.271.861.53
0.891.010.890.720.810.880.941.020.810.880.940.980.950.760.63
7.95-127.168.162.714.277.5715.58-45.065.017.7215.4845.9618.993.231.73
43.2241.6543.7844.5643.2141.4641.5141.8739.6038.4841.1850.9452.4150.2447.37
12.3313.8318.5014.4711.169.4810.9413.429.729.249.8917.7024.0122.2517.44
12.3313.8318.5014.4711.169.4810.9413.429.729.249.8917.7024.0122.2517.44
16.1217.5722.1020.0714.9913.7114.5016.4113.3412.6613.9120.7927.6826.2922.36
9.6311.7316.7112.308.556.107.989.216.065.855.1916.3423.1620.8915.40
7.479.2612.679.496.103.725.616.192.043.643.197.6115.4914.2210.23
1.081.131.141.111.011.001.001.141.191.160.901.061.691.541.29
5.795.175.986.536.777.128.829.119.578.477.287.407.407.877.58
11.4211.6511.759.588.358.418.699.028.317.757.062.749.969.567.87
31.9731.3431.0538.0943.7243.4242.0140.4943.9047.1051.7213336.6638.1846.36
115-2,073.3121969.3252.9453.06153-470.8822.6454.2766.5347971312549.33
-25.14-25.45-39.79-39.22-18.83-9.99-13.33-13.67-5.89-8.72-5.67-41.57-88.19-101.30-99.04
8.1410.5114.4710.576.234.256.377.312.474.262.898.0926.2021.9613.21
13.0116.8624.4019.1410.246.359.5711.114.206.474.1210.2035.6629.4918.09
1.88-0.131.532.461.731.000.52-0.191.160.830.490.090.120.460.57
3.222.103.543.081.420.941.170.700.940.910.400.750.900.630.44
2.170.402.942.561.020.610.870.440.670.720.240.550.790.570.40

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
1.211.211.211.181.251.241.221.181.231.111.211.281.081.360.991.120.941.391.161.131.211.181.201.201.181.161.051.081.201.161.191.261.271.081.131.131.411.441.341.411.601.731.651.581.741.843.841.882.682.562.272.052.091.781.861.511.601.771.531.381.641.73
0.860.890.890.920.950.991.011.061.071.040.890.860.790.850.720.770.860.900.810.820.840.860.880.890.920.920.940.950.991.011.020.910.910.840.810.810.860.890.880.900.920.920.940.960.990.990.981.021.020.850.950.840.790.730.760.870.890.780.630.690.770.83
6.047.887.9512.1820.1481.93-127.16-18.37-15.18-26.338.166.453.765.842.713.427.029.284.274.665.386.557.578.0611.2912.4315.5820.8285.39-104.31-45.0611.1410.655.835.014.976.248.247.729.4911.3912.1815.4822.5572.4972.9245.96-52.16-56.145.6318.995.113.832.683.236.437.873.471.732.243.384.74
44.9343.1043.8144.9242.7141.3841.2042.1641.0042.1844.4642.4944.3243.9645.9046.8339.9743.4244.3543.9243.3640.7941.8941.1241.3441.5342.5943.1540.7439.6941.4943.5041.8840.3640.6640.8638.9237.6939.4538.4937.5238.4040.2440.6138.5948.3050.0149.1850.6553.5952.1352.3652.9052.2751.8650.9748.6849.1648.5547.6246.6246.22
14.0511.0610.4114.3512.5111.8612.3915.6611.8815.2218.4518.3919.1018.0518.2815.918.0312.809.7114.6911.218.768.5611.618.798.7413.5113.688.588.2414.6015.7512.4610.6411.5712.606.807.3610.2610.537.048.8910.9311.046.6611.4115.0418.2214.4222.4023.3925.2224.2023.1024.4723.0420.4720.6019.2919.0415.7514.61
14.0511.0610.4114.3512.5111.8612.3915.6611.8815.2218.4518.3919.1018.0518.2815.918.0312.809.7114.6911.218.768.5611.618.798.7413.5113.688.588.2414.6015.7512.4610.6411.5712.606.807.3610.2610.537.048.8910.9311.046.6611.4115.0418.2214.4222.4023.3925.2224.2023.1024.4723.0420.4720.6019.2919.0415.7514.61
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11.398.207.4811.809.889.149.5713.649.8713.6316.9917.3915.8616.4216.6214.104.8910.277.1812.008.096.645.078.185.365.599.8410.435.286.4512.1613.253.637.817.867.493.834.779.187.241.045.587.457.571.013.8713.1316.9613.3221.2022.6524.3123.4022.1423.3121.4819.0019.3717.6817.0313.4812.23
8.606.426.598.877.287.068.5610.347.4810.5412.9313.0612.0412.5013.6910.723.467.265.308.935.764.111.825.803.463.627.966.273.724.697.199.352.655.49-2.634.572.773.166.254.48-0.313.904.065.47-0.243.206.89-0.578.8314.6215.3516.1715.5114.8115.8414.9412.7413.0611.8911.469.107.53
0.270.260.260.280.280.270.270.290.280.290.310.300.360.290.320.330.210.250.280.260.240.230.250.260.240.230.230.260.240.270.270.300.300.280.290.320.280.280.290.310.260.250.250.270.240.140.260.380.380.440.440.460.430.440.410.410.390.370.380.350.290.28
1.341.381.361.451.371.251.261.241.151.231.632.032.011.831.832.181.541.701.861.701.681.711.771.951.731.741.952.142.012.272.152.192.072.012.302.442.012.032.082.452.031.942.032.392.261.181.832.031.531.831.932.001.872.172.022.132.071.902.182.421.921.57
2.602.462.712.432.672.622.812.632.512.913.242.662.532.632.752.571.952.212.341.901.871.942.101.951.841.881.961.961.852.102.112.061.941.872.031.941.761.901.932.061.901.911.942.111.990.930.672.152.512.512.582.532.442.422.532.322.342.132.322.132.031.96
34.5836.5933.1737.0533.7534.3832.0334.2435.7930.9627.7733.8135.6034.2732.6735.0446.2440.8038.4347.2748.1046.4342.8046.1549.0247.9246.0345.9948.6242.8942.5943.7146.3248.0244.3146.5051.0247.4846.5843.7747.3547.2446.3542.7445.1896.3713541.7835.8335.8134.9435.5736.9337.1235.5638.7838.4442.1838.8242.3344.2345.99
25.8623.5224.0353.2067.49248-461.99-87.81-48.03-129.9961.7948.9735.0341.1228.9926.699.2529.2712.9621.5213.9611.448.78---57.51----147.26----7.31---23.29---23.86---105---183--32.7936.7765.1360.5829.2916.90---
-7.76-5.26-5.27-7.30-5.61-4.91-5.67-7.08-4.60-6.74-11.23-12.03-14.23-12.19-16.41-12.64-2.02-5.17-4.61-6.98-3.96-2.59-1.65-3.76-2.17-2.05-5.03-4.03-1.57-2.26-4.28-6.11-1.59-3.361.90-3.67-1.78-2.02-3.74-2.880.18-2.04-2.03-2.810.14-0.83-9.150.68-10.03-31.45-22.61-34.22-33.90-36.08-29.87-20.75-14.88-23.01-33.93-21.73-11.27-7.65
2.331.671.712.512.041.892.343.082.073.034.083.974.293.704.423.460.721.851.532.331.400.980.701.570.960.932.401.940.801.192.292.790.741.51-0.801.490.770.941.831.39-0.091.001.041.46-0.080.441.78-0.223.366.436.727.486.626.466.476.174.994.814.534.002.652.08
3.742.692.734.143.283.063.765.203.475.266.896.707.506.118.016.151.322.912.513.922.261.561.052.421.431.383.613.001.201.813.474.331.192.52-1.362.541.191.452.772.13-0.131.421.482.11-0.110.632.24-0.314.358.459.1410.198.868.908.708.776.836.556.205.643.532.75
2.371.881.881.240.800.20-0.13-0.89-1.10-0.571.531.882.041.612.462.171.211.011.731.551.421.161.000.960.730.660.520.390.10-0.08-0.190.650.671.041.161.201.020.800.830.710.640.620.490.340.110.110.09-0.05-0.050.400.120.380.460.540.460.250.200.390.570.470.360.28
1.580.733.222.701.420.562.101.600.370.453.542.941.530.413.082.350.820.071.420.900.200.020.940.590.080.001.170.990.350.310.700.470.21-0.080.940.530.00-0.030.910.730.30-0.010.400.43-0.050.020.750.640.340.170.900.650.370.200.630.490.230.080.440.400.220.09
1.240.552.171.840.780.270.400.38-0.360.132.942.531.280.302.562.010.58-0.051.020.630.03-0.070.610.34-0.11-0.100.870.790.230.250.440.290.11-0.130.670.33-0.10-0.090.720.610.23-0.040.240.31-0.130.000.550.480.260.140.790.580.330.180.570.450.210.070.400.370.200.08