Trimble Financial Ratios for Analysis 2009-2024 | TRMB

Fifteen years of historical annual and quarterly financial ratios and margins for Trimble (TRMB).

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
1.001.041.220.981.021.031.701.421.211.531.451.741.782.843.09
0.360.230.250.260.340.390.250.180.220.220.230.310.240.100.11
0.680.380.330.430.590.740.380.270.330.310.340.480.360.110.12
61.4157.2855.6155.7554.5654.0852.0552.2652.4953.8852.6151.2850.4649.8948.82
11.8113.9015.3313.3411.5210.328.917.646.7410.8911.0010.429.519.867.62
11.8113.9015.3313.3411.5210.328.917.646.7410.8911.0010.429.519.867.62
18.4118.5720.2519.6117.8617.2415.8415.5915.4318.8919.2817.7415.9915.7213.97
9.4015.4815.7012.5510.568.949.387.466.6311.1011.0511.2510.1910.907.78
8.1912.2313.4712.3915.769.104.475.615.298.949.579.379.178.015.63
0.400.510.520.460.490.540.610.640.620.620.620.590.620.690.64
6.223.904.474.624.754.794.805.154.173.974.264.133.513.364.00
5.385.715.865.075.376.065.626.056.086.126.345.995.825.315.26
67.8963.8762.3271.9568.0160.1964.8960.3060.0559.6557.6060.9762.6768.8069.40
6.9211.1012.4910.8516.4910.594.915.735.449.099.779.919.377.485.06
-14.87-76.77-90.69-45.52-41.53-17.60-49.92-125.67-32.37-65.43-58.20-34.71-80.2429.4321.49
3.266.196.945.687.754.902.753.603.285.555.905.475.615.553.65
4.428.539.417.9910.846.463.704.734.267.077.566.817.136.744.52
18.2616.4015.7214.3512.4910.669.709.188.869.088.647.526.425.735.25
2.401.562.952.662.311.921.671.701.381.541.591.330.960.500.80
2.231.392.772.442.041.651.501.601.211.361.321.120.870.410.74

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
2023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.001.261.121.511.040.991.021.261.221.371.281.090.980.920.960.971.021.001.041.051.031.081.930.981.701.441.431.471.421.381.301.201.211.241.271.311.531.471.821.651.451.461.461.601.741.601.631.791.781.882.781.892.842.622.452.983.093.042.802.63
0.360.410.420.300.230.240.200.240.250.250.250.260.260.290.330.350.340.350.350.380.390.400.340.220.250.180.160.170.180.180.210.190.220.220.180.180.220.200.200.210.230.250.280.300.310.230.260.240.240.270.070.000.100.100.110.100.110.110.110.12
0.680.700.740.490.380.410.330.320.330.340.360.380.430.500.570.640.590.630.620.690.740.760.510.450.380.270.240.270.270.290.320.300.330.340.270.280.310.270.270.280.340.380.440.470.480.350.400.370.360.410.080.100.110.120.120.120.120.120.130.13
61.9261.6560.8461.2658.7458.2457.1155.3155.2455.9755.5955.6556.4755.5155.3055.6655.8353.8353.8854.6855.4053.6853.8153.3851.3751.9451.9253.1152.8452.9051.7751.5652.3753.0051.8852.7351.8854.1755.2254.0653.3153.0252.4751.5949.7552.0851.7251.6050.0450.6851.2649.8450.5150.2049.0249.8447.0849.1149.2349.82
10.3912.679.4214.9711.2913.8314.3315.7913.8016.3615.3215.8914.6912.8813.3012.4110.7011.7012.8310.7711.419.7311.398.657.969.808.948.969.349.476.645.135.888.186.156.7813.621.9015.1412.5211.2311.3311.2610.155.8812.5711.3811.926.607.7712.6611.375.969.9512.1711.324.577.489.908.39
10.3912.679.4214.9711.2913.8314.3315.7913.8016.3615.3215.8914.6912.8813.3012.4110.7011.7012.8310.7711.419.7311.398.657.969.808.948.969.349.476.645.135.888.186.156.7813.621.9015.1412.5211.2311.3311.2610.155.8812.5711.3811.926.607.7712.6611.375.969.9512.1711.324.577.489.908.39
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6.388.295.7917.5410.6413.3223.5413.9412.7517.3817.1815.5015.4612.1712.3910.029.1410.0713.509.388.668.0610.088.996.9410.639.7010.439.608.946.285.045.067.746.117.5912.701.2115.3814.6411.0711.4111.929.787.5613.2412.2312.017.147.1614.7812.046.8812.0512.2512.434.577.9910.278.17
6.767.824.4914.079.999.7017.8511.1012.4513.7614.7012.9221.7310.698.597.8133.909.9611.077.7711.019.278.167.88-5.138.467.178.166.446.715.863.404.296.604.425.859.902.0212.1311.3410.029.799.478.966.4410.5710.3710.126.766.7013.1810.3311.3110.321.918.753.445.787.196.04
0.100.100.100.110.120.130.140.140.130.130.140.130.120.120.110.120.120.140.150.140.140.140.160.160.160.160.160.160.160.160.160.160.150.150.160.150.150.150.170.160.160.150.160.160.150.170.170.170.160.150.200.190.170.180.190.170.160.160.170.18
1.511.431.050.870.880.941.091.111.141.231.411.321.201.110.971.071.171.251.371.201.181.291.281.201.291.281.421.291.261.231.221.111.020.971.001.000.980.961.051.041.101.081.061.031.081.031.101.080.940.950.920.950.830.901.071.061.020.860.880.88
1.321.491.501.581.331.561.601.521.481.551.621.541.341.621.531.451.351.521.561.461.531.581.651.461.491.531.561.441.501.441.471.481.491.561.541.441.441.511.591.441.661.481.531.381.511.511.561.531.541.331.431.321.331.281.491.331.301.271.381.27
68.2060.3060.1556.9167.6057.5856.3559.3960.7357.9655.5358.5467.3155.5558.7462.0966.4359.2557.5761.6458.7356.9554.4861.7360.5158.9157.5362.6759.9962.3461.0660.6860.5957.6058.6162.3262.5059.7656.7062.4054.2360.6558.7965.2259.5059.6057.6358.9158.3867.5562.9568.3167.8870.1260.3467.9069.4571.0165.0670.95
1.401.721.033.032.112.234.312.772.923.193.623.125.022.531.972.008.952.803.352.273.252.782.552.35-1.482.241.882.061.641.691.590.861.081.681.101.452.380.503.192.892.672.552.692.491.712.953.092.941.801.743.472.612.592.490.552.160.731.271.751.53
-3.01-3.41-1.69-30.98-14.61-12.19-39.59-24.41-21.22-29.86-26.89-15.97-21.06-7.74-5.10-4.54-22.55-5.69-6.90-4.17-5.39-4.39-10.93-8.4715.08-41.54-160.34-71.86-35.84-24.12-13.08-6.70-6.41-9.67-9.43-12.83-17.10-4.54-77.79-30.96-15.92-12.99-10.59-9.62-5.98-22.62-16.28-28.16-15.45-10.2912.479.4810.1810.822.408.463.115.888.918.42
0.660.800.471.611.181.212.431.541.621.772.001.692.631.280.950.924.211.351.611.051.501.271.321.26-0.831.371.171.281.031.050.950.530.650.990.680.901.450.312.021.801.611.501.511.370.941.781.791.741.081.002.621.941.921.810.381.540.530.921.251.08
0.901.020.592.141.621.693.442.092.202.402.712.313.701.791.321.295.891.822.181.421.981.661.691.84-1.121.831.591.701.351.381.250.700.841.320.901.181.850.402.562.302.071.921.941.751.172.262.272.241.371.273.212.612.332.230.491.930.651.131.561.35
18.2617.4617.4417.1616.4015.5915.7315.9515.7215.4715.2614.6414.3513.3912.8412.4212.4911.1911.2210.9110.6610.5510.0710.059.7010.159.959.589.189.279.019.108.868.819.099.029.089.099.389.028.648.317.967.697.527.246.856.816.426.356.356.075.735.505.215.395.255.205.054.84
2.402.001.410.841.561.150.800.612.952.341.690.902.661.911.210.622.311.841.280.581.921.521.060.331.671.250.990.411.701.130.770.451.381.070.780.411.541.170.810.321.591.070.660.141.330.950.600.260.960.640.440.110.500.350.380.220.800.570.450.18
2.231.871.330.811.391.000.690.552.772.301.680.862.441.741.090.552.041.621.130.521.651.310.920.261.501.150.920.381.601.060.720.431.210.940.680.371.361.040.700.261.320.850.510.091.120.820.520.230.870.580.400.090.410.280.340.200.740.530.420.17