Tronox Holdings Financial Ratios for Analysis 2009-2024 | TROX

Fifteen years of historical annual and quarterly financial ratios and margins for Tronox Holdings (TROX).

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
2.842.312.493.142.958.487.484.852.376.517.314.652.742.923.34
0.580.510.560.640.770.780.750.710.720.570.500.360.36-2.01-2.23
1.431.061.261.783.353.673.102.652.771.340.990.570.57-0.67-0.69
16.2124.0925.0622.5217.5627.3822.9110.161.2611.929.8914.4128.1018.2312.91
6.5313.2616.159.833.6011.008.30-4.05-13.31-0.161.3619.5017.242.38
6.5313.2616.159.833.6011.008.30-4.05-13.31-0.161.3619.5017.242.38
16.4921.2824.7821.2114.5022.3219.9110.314.1717.5616.2921.7224.5922.097.62
1.728.9210.474.13-3.332.36-5.12-20.17-23.11-8.58-3.1755.0254.150.57-2.82
-11.0914.398.0135.13-4.13-0.38-16.78-4.66-21.79-24.58-6.5661.9052.880.49-3.60
0.460.550.600.420.500.390.350.260.300.340.340.331.001.110.96
1.682.052.551.881.932.762.772.362.371.992.281.723.825.024.78
9.509.025.615.075.415.705.054.533.866.276.244.695.944.944.95
38.4240.4765.0971.9967.4264.0172.2380.5894.5158.2158.4977.9061.4673.8773.78
-15.8620.8114.8453.18-11.143.48-9.16-12.06-33.51-23.32-3.6939.31116-0.794.68
-18.0823.2216.6059.58-14.414.37-11.38-14.95-42.96-27.51-4.2144.33204-0.794.68
-5.127.935.0615.15-1.940.65-1.91-2.80-7.40-8.23-1.5820.5652.690.46-2.57
-6.5910.276.5919.38-2.610.75-2.25-3.44-9.25-10.02-1.8625.2574.42-2.3915.11
12.6315.5513.2713.036.467.018.379.919.6015.5321.4725.456.64-3.05-3.01
1.183.814.692.452.951.381.380.720.581.232.911.22-0.171.86-0.26
-0.451.162.981.101.530.430.62-0.02-0.85-0.401.45-0.41-1.330.77-0.38

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
2.722.983.122.843.322.222.212.312.352.262.372.492.702.762.113.143.383.452.372.953.263.155.828.487.537.788.207.488.442.402.444.852.262.252.362.372.662.7410.006.517.607.337.787.318.377.907.134.655.113.573.382.742.442.022.162.92----
0.590.590.590.580.580.540.510.510.510.510.550.560.570.590.610.640.670.820.810.770.790.770.830.780.780.780.750.750.780.710.720.710.740.740.730.720.690.660.640.570.520.510.500.500.490.480.470.360.340.170.390.360.360.400.43-2.01----
1.451.451.461.431.391.281.111.061.111.091.211.261.341.441.841.782.064.794.713.353.793.444.963.673.603.533.053.103.472.602.672.653.033.062.922.772.382.051.801.341.111.041.020.990.950.930.890.570.520.210.660.570.580.730.82-0.67----
15.9218.2915.5011.3714.2019.7718.7916.1825.9227.8324.0424.6628.0524.4923.1222.7320.5922.3224.2421.3617.3212.6421.2827.5126.5429.2726.0226.9424.3722.5716.67-11.3614.1610.974.411186.783.899.0913.5015.8512.245.9812.3911.009.526.81-12.668.8329.1436.1836.5930.7327.6416.7132.1020.0817.9915.75-
6.729.275.301.174.8310.588.765.5518.2120.117.1515.1619.3116.1814.0312.017.268.4810.946.356.25-1.644.1015.8511.6213.213.1714.0110.807.60-0.7970.45-1.67-6.51181-3.65-8.10-2.34-1.252.563.06-5.020.921.831.71-4.04-19.29-3.495.1326.0426.2221.3219.8010.0616.2214.9212.7025.94-
6.729.275.301.174.8310.588.765.5518.2120.117.1515.1619.3116.1814.0312.017.268.4810.946.356.25-1.644.1015.8511.6213.213.1714.0110.807.60-0.7970.45-1.67-6.51181-3.65-8.10-2.34-2.563.06-5.020.921.831.71-4.04-19.29-3.495.1326.0426.2221.3219.8010.0616.2214.9212.7025.94-
------------------------------------------------------------
0.126.710.26-4.66-0.916.684.80-2.9315.7516.083.5211.7616.2110.463.596.641.331.046.51-0.14--7.46-7.188.164.614.67-8.140.65-3.91-4.04-14.81195-16.52-7.43-17.23239-7.48-17.34-10.13-5.50-11.42-4.69-13.163.67-6.72--9.36-25.10-7.1924723.9621.7519.3217.56172-12.81-8.454.7921.82-
-3.111.95-1.16-8.16-2.11-33.883.25-2.3113.5239.681.669.3912.767.872.135.75133-0.694.43--1.69-7.84-8.72-1.171.327.32-9.95--56.780.71-10.85-275.00-10.91-9.67-19.54151-10.43-19.29-12.73-69.00-21.68--13.88-1.61-9.98-2.48-12.13-19.29-0.6226719.8217.3521.2515.46171-12.05-8.173.9221.17-
0.130.130.130.110.110.130.110.100.150.150.160.150.140.150.130.120.100.110.140.130.150.150.080.090.100.100.090.100.090.080.08-0.010.070.110.10-0.010.110.110.070.080.080.090.070.080.080.090.080.090.090.080.230.230.290.280.260.30----
0.460.470.470.430.400.460.420.430.590.620.700.640.620.690.650.530.460.380.520.480.610.630.630.650.710.770.700.720.720.640.62-0.100.520.850.740.020.750.760.460.450.460.570.520.500.600.630.520.590.430.270.690.781.481.451.461.34----
2.102.101.992.292.292.131.701.691.521.471.471.391.381.351.351.441.391.291.291.421.331.311.291.341.371.411.311.381.400.920.88-0.150.861.331.30-0.171.271.311.291.441.411.321.281.421.321.241.131.231.341.011.241.381.531.461.341.32----
42.7642.9145.1239.3639.2942.1752.8853.1159.2361.0561.1864.8565.2866.7066.4662.5364.9369.9169.8163.3867.5068.6169.6966.9265.9263.8468.8265.1764.1497.70102-591.1410567.7569.39-525.2270.9068.8569.6662.3363.7867.9670.4163.5868.3772.8679.6673.0167.3489.4572.6065.3958.7161.8467.3368.01----
-1.280.52-0.47-2.83-0.69-12.901.04-0.585.3016.120.754.265.653.901.403.0553.44-0.555.89-0.55-1.46-5.92-4.410.701.715.57-3.970.49-3.09-1.45-4.635.81-6.16-5.00-8.99-13.87-4.10-7.72-2.77-15.38-4.160.09-2.29-0.12-1.63-0.04-1.67-3.33-0.0332.7010.148.8013.4410.331126.48----
-1.470.59-0.54-3.22-0.78-14.621.16-0.655.9417.990.844.776.334.351.573.4160.74-0.758.39-0.71-1.99-8.73-5.870.872.157.05-4.880.61-3.98-1.76-5.727.20-7.94-6.51-11.63-17.78-5.08-9.30-3.30-18.14-4.770.10-2.62-0.14-1.85-0.04-1.89-3.76-0.0435.9715.9115.5026.2424.063226.48----
-0.400.16-0.15-0.91-0.23-4.440.39-0.222.006.030.261.451.871.250.390.8713.93-0.070.78-0.09-0.23-1.02-0.630.130.321.06-0.840.10-0.60-0.34-1.081.35-1.26-1.02-1.92-3.06-1.02-2.11-0.85-5.43-1.680.04-0.96-0.05-0.71-0.02-0.75-1.74-0.0222.084.524.006.234.2644.34-3.72----
-0.530.21-0.19-1.18-0.29-5.930.51-0.292.577.850.341.892.421.610.551.1117.64-0.101.10-0.13-0.31-1.35-0.770.150.371.24-0.990.12-0.69-0.42-1.311.66-1.59-1.29-2.39-3.83-1.26-2.62-0.99-6.61-1.980.04-1.14-0.06-0.84-0.02-0.88-2.14-0.0227.176.145.648.546.2164.3319.49----
12.3212.2312.2012.6312.9913.3015.3115.5515.0315.0613.6713.2713.0012.8712.1213.0311.765.074.746.465.816.435.417.017.157.308.438.377.579.889.749.918.668.619.019.6011.3813.2214.3515.5318.8920.3420.7121.4722.1622.8323.7825.4527.7627.7011.246.649.778.517.61-3.05----
1.380.82-0.181.180.470.36-0.503.812.281.391.184.693.782.170.882.451.080.50-0.202.951.670.880.311.381.130.24-0.031.380.790.360.020.720.110.590.010.580.390.11-0.561.230.780.31-0.172.911.850.70-0.011.220.61-0.54-0.33-0.17-0.83-2.14-1.001.860.270.04-0.100.00
-0.22-0.03-0.67-0.45-0.82-0.56-1.101.160.300.120.542.982.631.430.501.100.19-0.07-0.461.530.680.350.110.430.48-0.19-0.260.620.260.04-0.15-0.02-0.400.12-0.28-0.85-0.83-0.69-0.84-0.40-0.15-0.28-0.381.450.93--0.41-0.41-0.13-1.09-0.60-1.33-2.42-3.48-1.050.770.14-0.04-0.13-