Tractor Supply Financial Ratios for Analysis 2009-2024 | TSCO

Fifteen years of historical annual and quarterly financial ratios and margins for Tractor Supply (TSCO).

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
1.501.331.571.871.431.911.951.952.142.112.272.022.372.452.18
0.450.370.340.350.200.210.230.170.110.000.000.000.000.000.00
0.820.590.510.530.280.280.330.210.120.000.000.000.000.000.00
35.9235.0035.1735.4234.3834.1634.3434.3034.4234.1533.9533.5833.2433.0832.49
10.1610.1010.269.398.908.879.4610.2410.4510.329.969.368.337.325.97
10.1610.1010.269.398.908.879.4610.2410.4510.329.969.368.337.325.97
12.8612.5212.3911.4311.2511.1111.7412.3512.4312.3311.9011.2710.239.248.04
9.849.8910.059.128.668.649.2710.1510.4010.299.959.348.287.285.92
7.617.667.837.056.736.735.826.456.596.496.365.935.264.623.73
1.581.671.641.511.582.562.532.532.632.812.712.732.652.492.51
3.533.413.773.853.423.283.283.253.183.373.483.413.403.313.20
5,915-745--1,9241,5241,8421,655------
0.06-0.49--0.190.240.200.22------
51.5053.3149.7938.9335.8834.0929.7930.0829.4628.6726.3226.9722.0918.0015.37
58.8960.8551.2140.0938.9837.0432.6532.9329.6728.9026.5427.2422.3218.2015.57
12.0512.8212.8410.6210.6317.2514.7316.3417.3118.2317.2416.2013.9711.489.38
28.3233.5933.0025.4628.6326.9922.8125.0826.3028.5626.3026.9422.0617.9715.34
19.9118.5317.7016.5513.2612.8211.3211.1110.389.488.937.377.076.415.40
12.1612.109.8311.876.725.624.934.863.332.932.352.601.721.491.47
6.075.214.429.394.943.393.063.181.611.790.821.550.600.850.96

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
1.481.431.401.501.521.601.471.331.481.441.441.571.691.711.711.871.491.401.661.431.601.521.581.911.991.921.961.952.002.022.231.952.292.192.002.142.001.891.852.112.112.042.082.272.202.082.032.022.142.242.182.372.132.112.032.452.162.191.962.181.841.831.69
0.450.430.450.450.450.460.460.370.360.350.360.340.330.340.350.350.230.250.430.200.300.240.300.210.280.280.350.230.280.250.310.170.170.120.160.110.130.010.050.000.110.000.060.000.030.000.090.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.06
0.810.770.830.820.840.840.860.590.580.540.570.510.500.520.550.530.500.560.780.280.450.340.440.280.410.410.560.330.400.360.460.210.220.150.200.120.150.010.050.000.120.000.070.000.030.000.100.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.07
37.2136.6335.9635.3336.6536.2035.4634.0435.6435.5134.9433.7635.9635.7535.2334.5936.3736.4233.7533.8434.9934.8733.7533.5834.7134.7633.4934.2434.8834.9333.1333.7234.7035.0533.6934.0734.7135.2733.4034.0634.1234.7633.4733.9034.4134.7732.4333.0133.5234.9532.6132.5133.5034.1632.7132.6333.2533.7932.4833.9332.9031.9330.92
9.3613.227.759.139.9913.377.418.979.3713.458.088.839.8513.498.266.419.6714.105.748.698.1612.225.678.468.1412.365.639.418.6112.786.1610.159.2113.457.3710.529.4313.836.9711.228.9713.326.6510.398.4213.606.269.707.3013.156.319.006.9712.243.447.625.7211.602.327.694.799.330.18
9.3613.227.759.139.9913.377.418.979.3713.458.088.839.8513.498.266.419.6714.105.748.698.1612.225.678.468.1412.365.639.418.6112.786.1610.159.2113.457.3710.529.4313.836.9711.228.9713.326.6510.398.4213.606.269.707.3013.156.319.006.9712.243.447.625.7211.602.327.694.799.330.18
---------------------------------------------------------------
8.9612.957.408.819.7113.077.028.719.1813.277.848.639.6513.308.006.139.4013.835.498.477.9112.005.408.257.9012.135.369.208.3912.635.9810.079.1313.357.2910.509.3813.786.9111.188.9313.306.6110.438.3913.566.249.697.2813.146.258.916.9112.223.417.555.7111.582.277.634.739.300.12
6.9610.015.846.777.4710.075.556.767.1610.166.196.677.4410.276.494.727.3110.664.286.586.169.314.226.426.219.374.245.625.347.963.866.455.808.444.616.785.928.654.367.075.638.424.126.785.368.494.056.184.698.253.955.694.377.742.194.863.607.261.494.932.945.790.07
0.360.430.360.400.370.460.370.470.410.500.390.430.390.470.380.410.380.480.330.410.370.440.340.690.580.720.520.680.590.720.530.720.590.720.570.690.600.780.570.780.620.780.580.740.630.790.580.750.620.750.590.780.630.740.530.710.560.750.510.680.600.810.54
0.710.900.710.890.761.000.700.980.791.010.771.000.881.160.871.060.871.200.680.900.710.880.640.890.710.880.640.880.700.890.630.930.680.880.660.850.680.890.650.940.690.900.640.960.690.880.640.950.690.890.671.010.710.890.600.940.660.900.580.840.711.000.62
241--1,487--1,259-388-335194442---333---35442137651979.5443335041036049621352194.44560-438---------------------------
0.37--0.06--0.07-0.23-0.270.460.20---0.27---0.250.210.240.171.130.210.260.220.250.180.420.170.950.16-0.21---------------------------
10.5518.449.3311.5312.0820.189.5613.2612.0620.7210.4611.0511.1018.699.797.0610.1619.976.199.208.1914.195.178.767.8114.745.447.746.7011.624.378.506.1110.415.008.026.5311.084.418.666.2310.544.057.695.4710.804.277.764.749.993.826.994.569.692.015.383.358.941.345.463.178.240.08
11.9620.8910.6913.1813.8323.1411.0215.1412.4221.3410.7911.3711.4219.2310.097.2710.8821.556.829.998.9315.435.649.528.5216.176.018.487.3712.784.819.316.1510.495.048.086.5811.174.458.736.2810.624.097.755.5210.904.317.834.7910.093.867.074.619.802.035.443.399.051.355.533.228.370.08
2.474.352.072.702.774.662.073.192.965.042.442.852.904.812.461.932.785.121.402.732.254.131.414.443.636.762.233.833.145.712.034.623.396.072.644.713.586.752.505.513.506.592.375.043.376.692.344.662.916.192.314.422.765.761.163.432.015.430.753.331.774.670.04
5.8210.465.106.346.5910.955.168.367.6713.506.657.327.3912.356.324.627.8214.963.537.345.7210.753.626.945.6410.613.535.924.868.683.017.095.049.154.197.165.6811.014.198.635.5410.513.807.685.2810.793.877.754.749.983.826.984.559.682.015.373.348.931.335.453.168.220.07
21.4121.4619.6919.9119.4619.1417.4618.5317.5517.2115.9717.7017.7317.2816.0316.5516.1014.6011.7113.2612.5912.9012.3112.8212.2411.5410.6711.3210.9010.8710.6611.1111.0611.2310.1510.389.9310.199.649.489.009.178.698.938.498.207.417.377.477.517.347.076.606.576.306.416.135.955.465.404.814.634.22
8.397.552.3712.168.587.110.1812.105.615.570.529.837.576.971.5111.878.548.500.716.723.452.87-0.115.622.882.23-0.174.932.691.77-1.084.862.132.070.493.331.781.700.262.931.211.19-0.272.350.700.44-0.672.601.081.04-0.141.720.760.79-0.301.490.630.48-0.141.470.760.66-0.09
4.124.490.976.074.293.94-1.255.211.573.21-0.474.424.265.110.659.397.177.770.474.942.272.19-0.343.391.321.28-0.543.061.571.10-1.353.180.891.320.211.610.590.99-0.091.790.310.60-0.570.82-0.41-0.25-1.021.550.310.59-0.350.600.030.29-0.490.850.190.23-0.230.960.420.43-0.22