Trio-Tech Financial Ratios for Analysis 2009-2024 | TRT

Fifteen years of historical annual and quarterly financial ratios and margins for Trio-Tech (TRT).

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
3.423.092.452.742.792.431.941.781.731.641.241.341.402.011.593.41
0.020.030.050.070.090.100.080.090.100.110.120.120.150.110.100.01
0.030.050.100.100.130.150.200.240.250.230.340.370.400.190.240.07
25.4327.0626.6323.6321.0822.9625.1124.5525.4526.3022.8919.9916.5223.4119.0024.35
2.585.155.34-0.19-2.752.035.173.864.243.56-0.01-2.71-9.15-1.65-1.00-7.70
2.585.155.34-0.19-2.752.035.173.864.243.56-0.01-2.71-9.15-1.65-1.00-7.70
12.5916.9212.329.246.258.2810.398.639.5710.166.325.13-0.535.725.132.98
3.855.516.93-2.773.213.595.414.673.783.90-0.28-1.98-8.29-0.36-0.41-6.93
2.483.575.44-1.822.553.942.803.412.261.540.16-3.21-9.98-1.94-1.01-9.83
0.991.031.010.850.971.071.161.151.071.061.050.880.820.980.890.72
9.9814.6714.3211.9214.1512.4410.8316.5617.5921.9225.2810.3211.1711.208.8012.78
3.784.023.493.624.964.944.914.103.664.114.063.272.534.992.864.69
96.6390.8010410173.5973.8474.3489.1299.8288.8989.9511214473.1412877.76
3.625.958.20-4.334.455.845.546.785.103.951.16-1.79-12.28-1.33-2.39-5.86
3.625.958.20-4.334.455.845.546.785.103.951.16-1.79-12.28-1.33-2.39-5.86
2.694.175.29-2.943.143.973.574.363.312.550.70-1.02-6.64-0.91-1.32-4.77
3.555.777.81-4.044.075.265.126.184.613.501.02-1.57-10.46-1.18-2.15-5.78
7.437.226.886.666.856.776.616.115.945.905.936.206.197.527.157.06
0.601.950.510.420.811.181.171.080.291.161.091.05-1.101.38-0.160.33
0.480.890.160.140.550.430.570.48-0.120.520.230.52-1.580.19-2.40-0.02

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
3.423.292.722.603.092.732.482.332.452.842.542.682.742.732.702.872.792.532.432.482.432.272.072.111.941.811.831.831.781.821.771.811.731.701.781.651.641.511.351.281.241.341.291.351.341.501.501.371.401.541.711.692.012.171.821.631.591.742.292.273.413.76
0.020.020.020.030.030.030.040.050.050.050.050.060.070.070.080.080.090.090.090.100.100.100.110.120.080.080.090.090.090.080.080.090.100.100.100.100.110.100.110.110.120.120.110.110.120.130.140.140.150.150.150.110.110.110.100.100.100.100.100.100.010.00
0.030.030.050.060.050.060.060.090.100.100.100.100.100.110.110.120.130.140.160.130.150.170.240.260.200.170.210.190.240.210.180.200.250.200.220.230.230.220.260.290.340.310.320.310.370.310.320.440.400.350.340.210.190.180.210.280.240.210.170.180.070.09
27.5526.0023.3925.2925.2224.9726.9230.3426.9622.2126.4631.2623.8725.3922.8022.1918.4321.0121.2622.9323.2324.6023.3020.9226.5022.0926.4925.2222.2124.9125.2026.2826.5922.7925.3227.4726.1629.1227.4622.2024.0124.4721.2822.0219.9319.6221.4419.2125.2312.2811.4215.9117.9624.1730.1921.0821.9719.0415.5317.1232.3220.68
3.670.575.55-0.011.42-0.388.638.947.24-1.176.019.543.95-0.80-0.45-4.78-8.76-4.32-1.932.263.021.392.341.226.592.326.615.003.284.943.054.205.793.453.933.775.145.534.91-1.661.020.26-1.14-0.140.94-8.01-4.35-1.157.41-12.40-24.26-10.38-15.45-10.453.895.783.601.91-9.16-7.22-10.94-12.07
3.670.575.55-0.011.42-0.388.638.947.24-1.176.019.543.95-0.80-0.45-4.78-8.76-4.32-1.932.263.021.392.341.226.592.326.615.003.284.943.054.205.793.453.933.775.145.534.91-1.661.020.26-1.14-0.140.94-8.01-4.35-1.157.41-12.40-24.26-10.38-15.45-10.453.895.783.601.91-9.16-7.22-10.94-12.07
--------------------------------------------------------------
5.152.944.732.453.380.586.5910.078.25-0.319.2410.84-10.752.260.88-2.24-2.100.1210.982.692.649.751.840.886.262.786.525.914.254.964.764.784.241.913.535.737.954.954.34-1.881.660.45-4.040.871.73-7.85-4.630.6911.23-11.41-25.67-10.66-12.61-6.455.185.015.281.68-7.80-7.50-3.35-11.18
2.490.674.162.311.78-0.074.097.396.68-1.507.839.02-10.702.192.87-0.121.520.824.752.784.237.733.590.656.27-7.316.385.253.323.563.413.382.041.602.273.274.332.331.06-1.683.001.95-3.91-0.180.55-8.41-7.01-0.18-7.10-6.89-18.18-9.14-12.68-7.931.963.773.100.18-5.96-5.95-15.21-4.53
0.230.240.260.220.220.220.270.270.270.270.260.250.240.210.210.190.200.230.230.270.290.240.260.270.300.280.290.320.320.310.300.280.270.290.270.260.260.270.270.240.270.240.270.270.240.200.210.250.210.200.180.240.200.160.230.300.310.300.190.220.160.13
2.232.812.641.853.163.182.812.343.833.813.122.903.412.332.952.843.053.023.234.493.362.282.833.332.703.322.613.304.713.404.095.614.435.113.654.795.444.294.454.216.453.335.603.792.773.102.654.262.632.202.953.222.411.792.392.822.975.893.536.192.652.14
0.870.930.910.790.840.840.880.890.940.980.891.011.041.060.991.031.031.141.171.191.341.081.211.111.251.121.051.051.131.131.151.060.941.001.100.991.020.991.030.981.050.940.981.010.880.950.970.810.660.900.791.061.000.940.980.891.001.090.961.061.021.02
10396.7099.0111410710810210195.9191.6410189.5086.7785.1590.5587.4987.1279.0077.2275.8367.1783.0374.1880.7372.1780.2585.6486.1379.6179.4378.0384.9096.2089.8281.8990.7488.5591.0787.3791.8985.6896.1992.0288.9910395.2492.5911113510011485.0089.9195.5692.2310190.3282.6493.3484.8988.5088.04
0.920.521.530.700.540.161.923.512.58-0.723.083.46-4.240.240.27-0.63-0.110.073.341.071.942.661.280.063.07-2.922.842.681.701.841.821.651.460.791.051.972.011.231.23-0.511.121.07-1.640.611.52-2.61-1.590.904.22-3.86-6.95-4.20-3.58-1.631.292.631.760.45-2.22-2.19-3.32-0.81
0.920.521.530.700.540.161.923.512.58-0.723.083.46-4.240.240.27-0.63-0.110.073.341.071.942.661.280.063.07-2.922.842.681.701.841.821.651.460.791.051.972.011.231.23-0.511.121.07-1.640.611.52-2.61-1.590.904.22-3.86-6.95-4.20-3.58-1.631.292.631.760.46-2.26-2.24-2.89-0.81
0.680.381.030.460.380.111.242.231.66-0.492.012.30-2.880.170.19-0.45-0.080.052.250.731.321.760.820.041.98-1.921.831.741.101.211.191.100.950.510.691.271.300.800.77-0.320.680.64-0.970.360.87-1.65-0.990.502.28-2.29-4.26-2.71-2.46-1.130.821.490.980.28-1.54-1.53-2.36-0.58
0.900.511.490.680.520.161.843.352.46-0.682.913.25-3.950.220.25-0.57-0.100.073.030.971.752.391.140.052.84-2.682.602.451.551.691.671.501.320.710.941.771.781.101.10-0.450.990.94-1.470.541.33-2.26-1.370.783.59-3.29-5.90-3.75-3.19-1.461.162.361.590.41-1.99-1.97-2.86-0.81
7.437.477.587.247.227.487.356.826.887.047.066.826.667.337.156.936.856.777.046.696.776.696.406.426.616.736.696.386.115.895.725.965.945.935.685.605.905.865.895.965.935.865.866.106.206.186.366.336.196.586.777.077.527.767.817.647.15---7.06-
0.600.590.30-0.011.951.540.910.380.510.140.20-0.180.420.220.080.130.810.560.420.271.180.800.600.151.170.830.39-0.021.080.831.030.690.290.380.380.201.160.680.510.131.090.880.630.361.051.241.10-0.04-1.10-0.63-0.53-0.151.381.430.98-0.580.02-0.08-0.19-0.320.310.36
0.480.550.26-0.030.890.56-0.050.100.16-0.130.01-0.290.140.070.030.100.550.340.230.130.430.10-0.01-0.180.570.30-0.01-0.160.480.450.840.59-0.120.190.310.130.520.270.260.000.230.250.150.220.520.820.87-0.24-1.58-1.05-0.87-0.290.190.780.64-0.75-2.23-1.36-1.39-1.36-0.030.07