Tower Semiconductor Financial Ratios for Analysis 2009-2024 | TSEM

Fifteen years of historical annual and quarterly financial ratios and margins for Tower Semiconductor (TSEM).

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
6.173.864.334.044.304.852.892.822.121.312.081.761.161.291.72
0.070.100.130.160.150.170.180.300.400.580.690.570.630.750.88
0.100.140.190.270.230.220.330.500.751.982.501.542.004.097.78
24.8527.8021.8218.4318.6122.4625.5424.2621.387.705.5712.3313.8821.05-8.87
38.4718.5811.047.197.0311.8815.8514.028.53-12.51-10.960.521.928.51-27.38
38.4718.5811.047.197.0311.8815.8514.028.53-12.51-10.960.521.928.51-27.38
56.6036.0228.9926.2024.4128.3230.8729.8326.0212.1119.0827.6928.5436.5920.61
41.1117.4010.287.017.3810.6814.5416.85-4.31-3.15-23.18-9.850.46-5.80-41.99
36.4415.779.956.507.3010.4021.4816.32-3.090.51-21.32-11.00-3.03-8.32-40.31
0.490.660.680.600.640.730.830.911.000.940.720.780.710.640.46
3.784.015.035.185.225.927.216.887.158.707.368.547.629.4610.09
9.2310.9710.607.819.728.509.278.868.737.895.537.548.117.557.36
39.5333.2734.4246.7537.5542.9439.3841.2041.8246.2565.9548.4145.0148.3149.59
21.4114.119.545.726.5410.7929.3030.64-7.55-0.70-76.2357.15-3.92110-154.67
21.5114.229.655.806.6210.9730.0832.30-8.46-0.94-105.6976.16-6.28228466
17.8010.466.913.984.567.4518.0215.16-3.02-0.16-15.2515.44-0.8016.11-13.31
19.9812.708.344.795.538.9323.9721.37-4.54-0.30-23.5024.71-1.4427.06-17.87
21.9017.1814.8413.4812.6111.7810.467.344.703.37-----
6.084.783.842.552.713.053.363.232.291.551.071.535.367.743.28
2.202.861.290.181.111.401.771.160.060.75-0.88-0.58-0.171.070.81

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
5.825.905.386.176.654.774.193.863.783.813.884.333.763.714.024.044.093.513.834.304.504.824.514.853.933.072.912.893.443.183.082.822.622.512.022.121.641.611.751.311.571.391.762.082.062.081.981.761.721.661.611.161.251.161.331.291.361.601.851.721.671.461.49
0.050.050.060.070.070.080.090.100.100.110.100.130.120.130.140.160.140.140.140.150.160.180.170.170.180.100.180.180.250.270.290.300.340.360.340.400.390.420.440.580.650.640.660.690.640.630.620.570.880.730.710.630.630.650.700.750.780.850.860.880.850.850.81
0.070.070.090.100.100.110.120.140.150.170.160.190.200.220.230.270.220.220.210.230.240.250.240.220.250.200.320.330.390.430.460.500.590.640.610.750.790.850.861.982.252.282.172.502.051.861.761.547.782.932.722.002.382.583.264.093.625.836.387.785.725.944.30
25.1224.7522.1924.0024.2524.2226.9230.9329.1526.3824.8524.3122.0820.3720.1120.1617.2318.6117.5017.9418.6717.4520.3622.6722.5123.4321.1624.9925.1426.3925.6825.7724.9223.8522.0625.3522.6822.2714.5816.196.512.873.206.643.309.762.2836.72-17.1416.8013.534.999.2720.9225.3224.7226.5717.2414.346.28-6.71-17.53-29.02
15.0515.7010.3912.8410114.1525.1424.4918.5516.5814.9713.5611.429.399.359.676.157.145.486.187.285.808.8212.0611.9513.2010.2015.2415.5716.6315.9816.2215.0113.1711.0813.499.859.130.88-20.65-7.54-10.23-10.55-8.83-12.57-6.36-16.70146-146.216.571.34-6.81-2.629.2012.7415.5213.253.470.15-10.68-24.39-39.17-48.11
15.0515.7010.3912.8410114.1525.1424.4918.5516.5814.9713.5611.429.399.359.676.157.145.486.187.285.808.8212.0611.9513.2010.2015.2415.5716.6315.9816.2215.0113.1711.0813.499.859.130.88-20.65-7.54-10.23-10.55-8.83-12.57-6.36-16.70146-146.216.571.34-6.81-2.629.2012.7415.5213.253.470.15-10.68-24.39-39.17-48.11
---------------------------------------------------------------
16.7017.9011.6017.5910415.2427.1124.4716.3614.6714.4713.4710.729.267.109.245.977.734.777.187.146.119.0510.8911.1811.579.0013.2614.3615.7714.8615.6414.8914.4823.247.586.114.51-38.121.47-14.12-14.5327.41-23.45-26.45-19.40-23.2056.42-81.17-2.64-9.69-8.566.127.83-3.273.163.63-4.07-29.51-29.34-43.33-53.76-49.81
14.7515.2213.6415.3195.5014.3320.0820.6616.1913.6312.8312.5510.118.528.168.994.906.145.676.777.116.848.4511.4110.4311.268.3541.1615.5914.5013.7914.1815.7012.6223.728.675.553.31-32.300.27-8.60-6.7329.27-22.18-23.97-18.28-20.55-15.85-11.75-5.58-11.50-9.571.041.19-4.490.960.92-6.88-31.85-31.22-38.00-51.07-47.61
0.120.120.110.120.130.140.140.160.180.180.190.180.180.170.170.160.160.150.150.160.160.160.170.190.190.190.180.210.230.230.230.250.240.240.240.260.270.280.270.270.250.240.140.190.180.160.150.180.240.190.190.200.180.140.150.170.200.190.180.150.120.090.09
1.020.960.850.950.890.820.720.921.121.261.281.331.371.381.411.381.251.201.251.301.351.451.421.511.571.671.661.871.851.831.741.841.711.711.691.801.811.992.242.242.482.721.361.941.821.591.79-0.7810.092.182.332.402.081.551.962.392.632.742.992.922.952.672.70
1.892.132.052.282.392.192.472.642.592.502.392.902.672.502.122.132.632.422.612.412.532.472.312.171.972.082.172.392.362.292.472.412.372.172.102.311.881.982.002.242.422.041.391.471.591.261.281.743.591.831.912.321.581.081.822.001.942.152.092.481.901.711.72
47.5642.3343.8439.4237.7341.1436.4934.1434.7936.0237.7131.0633.7236.0042.5542.2634.2737.2734.5437.3835.6236.4038.9541.3945.6843.2441.5537.6738.0939.3136.4137.2938.0541.5642.8238.9147.8945.4544.9240.1337.1844.2264.8661.0356.6171.3070.3451.6725.1049.0647.0838.8457.1383.0349.5744.9046.3941.8643.0836.3247.4552.7852.33
-2.26-----4.55-3.45-3.21-2.06-2.07-1.54-1.46-1.52-2.95-3.27-14.44-6.35-7.65-7.22-6.24-2.71-0.32--8.22--21.13----10.63-32.42---9.56---1.10----56.08---
2.112.271.762.1414.462.444.154.583.843.483.403.252.622.092.092.091.131.561.191.471.711.542.113.002.983.342.6114.826.426.606.608.078.727.8013.987.004.983.21-30.900.43-15.30-11.6823.37-29.30-24.72-16.65-16.57-14.1797.68-10.21-20.08-15.321.471.47-6.412.293.32-618.00618169700398-167.84
1.791.921.451.7711.911.923.163.372.802.502.462.331.871.471.471.440.791.070.831.011.171.051.432.041.932.041.588.883.493.453.303.793.773.125.552.491.540.96-9.090.07-2.12-1.583.98-4.23-4.24-3.00-3.00-2.87-2.79-1.04-2.15-1.950.190.17-0.680.160.18-1.33-5.64-4.83-4.74-4.85-4.19
2.002.151.651.9913.362.223.744.093.413.083.022.812.281.791.771.730.961.331.011.231.421.261.722.452.402.942.1011.814.644.654.485.345.384.598.443.752.631.58-14.550.13-3.74-2.976.62-6.51-6.65-4.66-4.67-4.60-3.75-1.70-3.56-3.510.350.32-1.140.270.27-1.88-7.71-6.48-6.17-6.15-5.22
-------17.18-15.45-14.84-14.02-13.48-12.97-12.61-12.17-11.78-11.10-10.46-8.31-7.347.046.47-4.70---3.37-----------------------
0.001.990.996.080.001.330.654.780.002.481.243.842.621.650.802.551.881.250.632.712.041.370.703.052.171.500.743.362.541.580.783.232.411.590.780.600.590.760.241.472.230.990.000.750.000.180.001.540.762.320.005.090.003.260.0014.0511.740.000.572.870.710.480.15
-0.110.112.20--0.42-0.292.86-1.310.501.290.860.680.350.180.100.090.051.110.850.570.311.400.980.710.351.771.380.800.401.160.770.470.20-0.060.120.00-0.200.722.230.47--0.62--0.64--0.590.192.32--0.16--1.30-1.951.62--0.380.71-0.92-0.63-0.46