TriMas Financial Ratios for Analysis 2009-2024 | TRS

Fifteen years of historical annual and quarterly financial ratios and margins for TriMas (TRS).

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
2.493.022.792.563.622.912.552.322.141.731.971.771.921.801.59
0.370.380.380.370.300.320.360.420.430.510.350.570.730.810.89
0.580.610.620.590.420.470.560.750.771.070.561.392.704.408.30
22.5323.5725.3423.6526.8028.3828.8526.5527.3326.7128.2727.0229.3130.0326.32
7.3211.2111.09-11.4712.6115.4314.13-5.28-0.499.7712.1610.1012.1112.126.37
7.3211.2111.09-11.4712.6115.4314.13-5.28-0.499.7712.1610.1012.1112.126.37
14.0017.3317.4412.6318.7821.3620.4813.0013.5014.2016.2713.8416.1216.6312.43
5.669.928.06-13.3410.8213.1010.65-7.33-2.567.849.523.357.366.252.65
4.527.496.69-10.3613.6311.824.72-5.01-3.877.729.452.675.575.02-0.03
0.670.680.660.640.610.640.640.760.740.550.611.121.090.970.94
3.604.144.203.943.993.973.013.633.753.802.123.894.304.054.04
6.046.686.826.796.657.265.857.127.086.684.448.437.998.108.32
60.4754.6753.5053.7654.9250.3162.4251.2951.5454.6382.2543.3145.6645.0543.86
5.9110.159.08-13.658.8811.886.61-7.96-5.247.9410.7812.0029.2434.6620.07
29.2153.4048.31-107.6730.7554.2311813627.14-28.10293-20.99-25.76-15.36-4.17
3.015.074.40-6.685.196.703.48-3.78-2.452.884.553.225.124.211.51
3.746.325.59-8.576.248.064.25-4.62-3.013.917.015.127.986.612.22
16.5815.6214.7313.5315.6513.6311.9010.9812.0713.0412.217.715.023.301.83
2.111.713.102.921.662.802.611.771.392.732.121.932.752.762.46
0.810.632.061.991.012.291.881.090.75-6.241.530.711.822.122.05

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.832.822.732.492.592.702.633.022.632.482.482.793.203.021.632.563.053.074.643.622.922.782.862.913.022.812.832.552.672.352.352.322.442.412.562.142.382.202.051.732.102.162.231.972.711.952.061.771.871.871.851.921.991.911.821.801.921.781.691.591.811.751.75
0.380.390.390.370.370.390.380.380.380.380.380.380.390.400.400.370.350.310.400.300.310.310.310.320.330.330.350.360.380.390.410.420.410.410.440.430.420.430.520.510.350.380.410.350.460.570.610.570.570.590.710.730.740.750.780.810.820.860.890.890.880.890.92
0.600.630.630.580.590.630.610.610.620.630.620.620.640.661.160.590.530.450.660.420.440.450.460.470.480.500.530.560.620.660.720.750.710.730.800.770.760.771.121.070.570.630.720.560.881.411.601.391.361.452.522.702.933.103.794.404.766.167.918.307.128.2812.38
22.5422.4623.2120.6023.7723.3822.1322.4222.1225.5323.9423.6426.2726.5024.8324.7426.0418.6625.3725.9426.0028.1926.9933.7227.5828.8027.8156.7928.1327.8725.9321.4328.7028.0727.5625.4228.1227.4428.0723.2626.9327.9326.2622.1026.5227.3324.6926.2126.8428.3326.5229.1429.5130.6527.7829.9130.3231.0728.6630.2028.6724.1423.03
3.617.425.485.5510.108.604.6412.939.6012.579.788.4213.8611.6810.219.75-54.31-9.1010.8512.1612.5114.1811.4231.0913.3514.0116.2265.7213.5112.387.96-51.118.799.188.11-35.309.708.5410.274.459.2311.298.833.2612.2811.027.036.6110.9012.769.6610.1712.8914.1610.968.3313.3514.4911.384.0910.427.902.58
3.617.425.485.5510.108.604.6412.939.6012.579.788.4213.8611.6810.219.75-54.31-9.1010.8512.1612.5114.1811.4231.0913.3514.0116.2265.7213.5112.387.96-51.118.799.188.11-35.309.708.5410.274.459.2311.298.833.2612.2811.027.036.6110.9012.769.6610.1712.8914.1610.968.3313.3514.4911.384.0910.427.902.58
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1.485.273.174.028.376.972.8912.088.3511.218.136.7212.075.397.958.15-56.64-10.658.859.9610.9612.999.1122.2711.9811.5014.2652.198.5510.715.79-54.316.987.616.38-36.837.835.888.141.757.529.737.621.1611.419.634.83-9.028.137.515.525.529.228.555.871.957.989.244.73-8.615.617.733.63
1.104.552.263.797.014.732.289.276.098.366.326.138.815.416.3212.59-50.57-7.877.1822.4710.1411.5411.0142.5810.138.7111.20-11.926.276.963.50-36.314.345.154.09-31.545.270.766.240.4210.0011.665.082.148.077.113.90-4.725.564.924.205.106.585.934.542.955.358.502.47-6.912.874.32-1.82
0.170.180.170.160.180.170.160.160.170.180.170.160.180.180.130.160.190.170.140.140.160.160.150.040.210.210.210.030.200.200.190.180.170.180.170.160.170.170.130.220.170.160.270.250.250.310.280.260.290.310.280.260.290.300.280.210.260.290.260.200.240.240.23
0.830.890.850.860.980.980.980.970.981.081.081.051.061.071.020.951.031.150.970.950.790.760.710.200.981.001.000.090.940.980.930.910.840.880.880.860.910.910.531.570.620.621.000.921.041.121.030.921.111.131.101.031.131.141.130.871.111.261.160.811.021.040.90
1.401.421.401.421.421.421.441.541.531.531.491.661.651.621.621.661.681.621.491.571.241.271.240.401.691.701.680.301.671.721.681.661.551.631.541.581.541.601.022.641.000.911.611.781.761.821.751.971.821.811.651.911.831.681.621.731.851.831.711.762.041.861.79
64.0663.4964.4663.5763.4163.6062.4858.6058.7358.7560.3954.1154.6355.5755.7254.2453.5855.6260.3557.3272.7170.9472.3422353.3453.0253.4230053.9252.2153.7054.1258.0355.1658.3956.9658.5756.0888.4934.0989.9298.6655.7650.6551.0049.4951.4745.7849.5849.6654.3947.0149.2653.4455.6452.0448.6449.2152.6251.0944.0648.4450.30
0.371.620.761.162.441.660.762.892.103.152.242.033.191.982.194.05-18.08-2.371.941.932.302.892.271.153.733.354.300.182.402.811.37-13.481.551.881.51-11.111.931.411.990.451.852.463.471.355.557.944.45-4.276.335.906.184.1010.4610.388.165.3511.4018.768.77-14.789.7015.159.94
1.707.583.775.7512.5210.125.3215.2011.7921.0216.7610.8115.3611.6113.5531.98-77.29-16.2512.326.679.6513.8010.305.2420.3423.4243.193.2645.15228-46.20230-12.77-12.67-8.5357.58-9.09-5.97-5.48-1.6115.5022.5365.3936.8055.77-17.71-7.827.46-12.27-11.08-4.81-3.61-7.99-7.69-4.58-2.37-4.86-5.67-1.983.07-2.45-3.25-1.40
0.190.800.380.591.230.810.371.441.021.521.080.981.560.950.851.98-9.38-1.330.991.131.291.601.260.652.111.862.330.101.251.410.66-6.410.760.910.71-5.200.890.640.710.160.831.061.430.572.112.191.15-1.151.741.561.150.721.771.691.140.651.331.760.68-1.110.851.160.52
0.230.990.470.741.541.020.471.801.291.941.381.251.941.191.322.55-11.82-1.641.171.351.591.991.560.782.522.232.800.121.491.720.81-7.830.921.100.85-6.381.110.800.960.221.191.542.050.883.023.381.76-1.822.742.441.791.122.672.551.761.022.002.651.01-1.631.211.660.75
16.8316.6316.5116.5816.3015.9915.6315.6215.1115.0014.8714.7314.3413.9113.8013.5312.8815.2015.5615.6514.6914.3114.0213.6313.2512.7712.3211.9011.9611.5611.1610.9812.4612.2812.1212.0713.4213.3013.2213.0413.2712.9512.2712.2112.118.587.957.718.037.415.635.024.694.463.823.303.082.381.931.832.201.931.38
0.900.36-0.092.111.380.630.231.711.110.650.133.101.800.990.362.921.820.710.081.661.410.640.182.801.801.120.352.611.581.080.481.771.010.72-0.071.390.320.14-0.512.721.430.51-0.551.941.010.34-0.951.930.39-0.13-1.122.751.02-0.13-0.782.761.780.91-0.122.461.990.960.05
0.12-0.22-0.410.810.550.04-0.120.630.360.14-0.142.061.110.570.151.991.41-1.69-0.011.010.930.39-0.442.291.460.880.281.881.050.750.251.090.520.44-0.200.75-0.09-0.14-0.63-6.221.030.22-0.751.400.15-0.31-1.290.71-0.53-0.76-1.441.820.34-0.49-0.962.121.891.19-0.192.051.670.77-0.04