Transcat Financial Ratios for Analysis 2009-2024 | TRNS

Fifteen years of historical annual and quarterly financial ratios and margins for Transcat (TRNS).

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
2024202320222021202020192018201720162015201420132012201120102009
3.142.392.151.952.322.031.921.801.662.271.841.941.781.811.582.26
0.010.320.350.190.300.240.290.370.330.260.200.200.110.180.110.16
0.020.490.560.260.450.350.450.630.490.350.250.250.120.230.130.19
32.3029.6528.5126.6124.5424.4524.1324.3023.8423.5325.1424.4024.6525.5523.8024.86
7.627.056.906.396.276.365.825.515.165.475.665.294.935.032.943.56
7.627.056.906.396.276.365.825.515.165.475.665.294.935.032.943.56
12.8411.8011.5710.7610.1210.319.689.818.397.978.147.707.577.555.506.08
7.115.856.445.765.625.745.124.984.925.205.445.094.774.922.823.34
5.264.645.554.494.664.443.823.143.383.263.363.303.003.061.792.06
0.901.181.151.311.351.531.601.561.591.992.202.042.452.202.272.57
10.099.5811.5310.939.218.509.3010.6014.2714.0114.3512.4812.968.9710.4611.60
5.375.105.095.045.405.635.966.186.806.847.076.857.517.196.848.29
67.9271.5671.7672.3967.6564.8561.2859.0453.6653.3551.5953.2748.5950.7653.3944.04
6.0610.7313.2110.3812.0211.9811.5310.4210.6011.7313.2411.7012.0611.957.168.36
13.7064.8917832.0745.9135.9945.2013526040.9139.6535.7328.6228.8016.1516.20
4.755.466.405.906.306.796.124.915.386.487.406.737.346.744.065.29
6.017.308.598.428.459.088.226.537.118.6610.579.3410.749.756.377.02
25.4713.1711.4510.079.098.277.186.165.625.024.484.263.733.212.782.52
3.912.222.323.131.541.671.351.061.540.631.030.690.820.340.750.51
2.320.991.002.260.690.740.550.330.970.140.800.340.640.120.600.27

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
2.963.143.372.322.682.392.422.522.482.152.342.492.371.952.362.202.532.322.262.392.102.032.162.002.041.921.982.242.511.801.641.471.721.661.991.982.322.272.402.352.501.841.942.272.411.941.962.052.371.781.842.061.991.811.621.491.861.581.651.702.142.26
0.000.010.010.270.290.320.330.340.360.350.320.340.210.190.240.230.280.300.220.270.250.240.290.300.270.290.330.380.400.370.370.350.390.330.220.250.250.260.310.340.260.200.270.210.210.200.180.200.170.110.210.250.210.180.070.000.120.110.100.080.110.16
0.010.020.020.390.440.490.520.550.580.560.490.530.290.260.340.320.420.450.300.390.370.350.430.460.410.450.540.640.710.630.620.580.680.490.280.330.330.350.450.510.350.250.380.270.270.250.220.250.210.120.260.330.270.230.080.100.140.130.110.080.120.19
33.9633.8932.1332.0430.8830.8528.5729.7129.3429.8426.7929.0028.2928.6525.5227.6324.1926.3422.9925.0123.7125.9423.3623.5124.8625.6623.9622.7023.9625.4423.5823.2824.8826.0022.4722.8623.8026.2822.5222.2622.9028.3423.3923.6225.1327.3122.6122.6924.7325.6223.8524.4324.6026.9125.3423.7025.9727.3322.0222.5622.5826.59
7.6412.986.592.627.669.435.516.426.598.084.647.107.729.255.727.402.488.184.847.324.628.175.865.605.528.256.564.063.896.676.224.584.346.775.584.653.469.634.434.872.619.644.404.444.019.494.164.412.376.385.814.932.236.956.034.342.195.823.621.82-0.674.94
7.6412.986.592.627.669.435.516.426.598.084.647.107.729.255.727.402.488.184.847.324.628.175.865.605.528.256.564.063.896.676.224.584.346.775.584.653.469.634.434.872.619.644.404.444.019.494.164.412.376.385.814.932.236.956.034.342.195.823.621.82-0.674.94
--------------------------------------------------------------
7.8413.546.551.286.217.783.705.476.317.414.376.607.318.615.226.641.857.434.396.613.957.545.145.104.917.725.793.303.146.095.734.023.836.455.374.533.149.394.174.432.459.304.124.204.009.194.044.212.186.205.654.782.056.755.974.182.155.713.551.67-0.844.79
6.619.725.140.734.875.892.794.185.625.453.205.987.726.584.004.862.055.453.425.704.055.983.843.833.905.784.522.172.363.723.362.662.734.803.542.982.035.902.622.761.535.602.582.672.515.842.672.781.443.923.602.961.274.223.762.521.353.692.211.02-0.522.93
0.210.250.230.250.300.320.300.300.300.310.320.320.360.370.340.330.310.360.380.360.370.420.400.380.390.440.430.380.390.420.410.400.390.430.480.460.490.520.510.490.530.560.560.520.530.560.580.550.570.680.590.560.600.620.640.590.600.660.670.610.610.65
2.432.692.732.722.762.542.432.372.593.082.693.512.942.992.642.202.082.382.302.042.032.302.302.102.072.492.762.412.342.792.683.523.283.734.033.633.433.533.333.222.733.523.092.673.063.323.362.922.613.582.462.862.252.492.412.192.172.903.042.943.092.85
1.381.471.481.401.411.371.511.391.421.391.441.371.421.421.401.471.351.431.541.511.511.561.581.511.601.631.671.581.661.651.741.771.831.831.871.801.941.791.921.831.911.821.871.791.901.901.931.931.942.101.901.831.982.032.032.032.171.982.132.102.082.08
65.3061.2860.9464.0863.6965.5559.7064.6263.5064.9062.4765.9363.4763.4564.1861.3566.4963.1058.4359.6759.5557.8256.8959.4456.4255.2253.8856.9254.1754.4851.7650.8249.2949.1948.0249.9546.3850.2846.7949.2347.1549.5948.2050.4147.3547.4446.7146.6646.4342.8347.4549.1745.4944.3144.2644.3841.4245.3442.3142.7743.3643.19
1.683.061.530.332.663.671.682.553.433.541.973.734.814.272.432.891.183.722.283.802.834.462.782.712.704.783.771.681.903.292.992.232.264.052.892.441.715.562.492.701.445.662.802.352.225.742.642.601.304.413.922.981.354.664.062.451.344.292.490.98-0.472.99
4.506.923.675.2715.9222.2113.7820.8044.7147.5513.2835.2614.2413.218.299.374.3314.195.7110.168.2013.409.5710.239.5118.7318.6911.1015.7442.5068.02-262.75-40.0599.319.959.576.1819.4010.6613.924.0916.9610.156.416.2017.526.626.932.9710.4610.118.473.1611.228.555.082.929.675.142.03-0.915.79
1.362.401.190.191.451.870.851.261.691.711.011.902.812.431.351.610.641.951.302.071.512.531.541.451.512.531.940.830.921.551.391.071.062.061.681.360.993.071.331.360.823.161.431.381.343.301.551.520.812.682.141.660.762.632.401.500.812.431.480.62-0.321.89
1.673.041.520.241.882.501.131.672.212.301.342.483.813.471.862.230.852.611.792.792.123.381.981.911.983.412.521.041.132.061.891.441.372.722.251.831.294.111.711.781.074.522.031.861.754.582.162.071.073.933.102.251.063.803.782.441.173.812.260.90-0.422.51
28.6825.4724.7417.3314.4913.1712.6012.2211.8711.4511.0210.7410.2710.079.749.439.109.098.788.528.318.277.857.627.347.186.806.536.326.166.055.885.735.625.365.225.135.024.784.684.544.484.214.454.364.263.993.873.753.733.573.423.293.213.042.942.842.782.662.602.542.52
0.973.913.072.010.972.221.820.680.272.321.620.990.273.132.061.650.541.541.090.380.121.670.960.650.411.350.790.23-0.401.060.540.70-0.021.541.040.750.370.630.17-0.06-0.341.030.580.03-0.070.690.310.09-0.270.820.330.12-0.070.340.360.11-0.030.750.530.460.210.51
0.572.322.031.320.610.990.890.06-0.051.000.850.490.112.261.501.240.370.690.45-0.14-0.050.740.240.150.150.550.10-0.31-0.700.33-0.030.35-0.150.970.510.360.220.14-0.20-0.32-0.440.800.45-0.01-0.080.340.02-0.09-0.330.640.170.00-0.150.120.210.02-0.060.600.400.380.170.27