Tyson Foods Financial Ratios for Analysis 2009-2024 | TSN

Fifteen years of historical annual and quarterly financial ratios and margins for Tyson Foods (TSN).

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
1.341.811.551.791.271.131.551.771.521.641.861.912.011.812.20
0.290.280.320.410.410.380.470.390.380.460.230.240.270.290.42
0.520.420.520.740.850.770.970.650.690.920.390.400.380.490.78
4.9812.5113.8712.4711.8412.7213.2312.749.477.146.866.636.858.844.50
-0.758.289.346.976.537.417.637.685.243.814.003.894.025.47-0.81
-0.758.289.346.976.537.417.637.685.243.814.003.894.025.47-0.81
3.2610.5311.929.849.349.779.629.596.965.225.515.405.607.323.21
-1.287.798.596.175.606.706.877.044.643.333.662.923.374.23-2.03
-1.236.086.484.774.677.424.644.792.952.302.261.762.342.74-2.05
1.461.451.301.251.291.381.361.651.801.572.822.782.892.642.52
9.438.459.259.809.519.9510.2511.7813.0110.6611.3710.9911.5311.4012.69
21.3620.6819.6022.1219.5123.2522.8423.9225.5422.3222.9623.9924.2523.7324.28
17.0917.6518.6216.5018.7015.7015.9815.2614.2916.3615.9015.2215.0515.3815.04
-3.5616.4017.1413.4614.1423.2116.8418.4112.619.6113.6110.1612.9814.71-12.41
-28.48107389-90.56-52.63-80.63-35.50-83.23-57.49-27.8120.2215.2720.2524.35-23.64
-1.798.828.436.016.0510.216.347.925.333.576.965.166.677.12-5.19
-2.5111.7411.717.918.3314.318.9511.207.815.2110.437.719.4710.43-7.15
51.2855.0348.9242.1538.5135.0028.6926.6625.0823.6818.1216.8315.3613.8011.78
6.177.4010.5210.616.878.037.026.966.223.243.583.212.753.782.58
-0.662.207.217.333.434.784.145.184.161.502.061.341.062.331.59

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
1.821.771.491.341.801.661.751.811.991.931.681.551.491.741.761.791.801.611.301.271.331.380.851.131.481.561.511.551.631.621.601.771.801.891.551.521.391.401.501.642.112.072.011.861.881.941.891.912.252.192.052.011.871.991.871.812.022.212.112.202.272.17
0.350.350.310.290.320.290.280.280.300.300.310.320.340.380.410.410.430.430.400.410.430.440.380.380.420.420.430.470.490.380.380.390.380.390.380.380.380.410.430.460.210.230.230.230.230.240.240.240.280.260.270.270.270.270.280.290.330.380.410.420.410.43
0.610.600.530.520.490.460.420.420.430.440.510.520.620.640.720.740.800.830.800.850.890.910.900.770.820.820.810.971.070.660.620.650.630.650.690.690.750.820.820.920.270.300.310.390.390.400.400.400.420.370.380.380.420.440.460.490.520.630.750.780.730.81
6.586.626.183.445.154.017.309.5111.9413.2315.5819.3312.9811.0911.2514.0513.109.3813.3110.4612.2711.4113.2913.3912.9210.3914.1113.1112.2011.5316.1511.8913.0212.9013.129.399.799.918.847.056.587.217.827.527.815.586.447.276.856.475.924.746.446.669.778.9910.118.167.976.407.054.01
2.552.391.73-3.47-2.66-0.373.525.587.658.8111.2514.908.516.376.748.397.714.737.015.037.186.087.927.567.935.059.016.617.086.2910.696.408.167.688.485.245.595.484.713.033.634.004.704.684.802.823.634.444.143.653.342.153.783.796.545.256.824.974.73-4.464.140.46
2.552.391.73-3.47-2.66-0.373.525.587.658.8111.2514.908.516.376.748.397.714.737.015.037.186.087.927.567.935.059.016.617.086.2910.696.408.167.688.485.245.595.484.713.033.634.004.704.684.802.823.634.444.143.653.342.153.783.796.545.256.824.974.73-4.464.140.46
--------------------------------------------------------------
1.891.551.21-4.17-3.24-0.993.274.857.318.2910.9014.327.745.525.897.306.644.646.073.766.655.067.006.947.194.338.235.726.265.719.935.807.567.027.784.625.144.844.022.163.203.784.374.314.412.643.204.061.603.112.921.583.193.015.844.345.313.603.56-5.672.88-0.75
1.431.110.80-3.37-3.17-0.742.383.925.566.328.6710.586.004.214.465.715.253.454.673.006.214.085.414.835.383.2215.943.884.543.746.464.275.154.715.042.463.413.112.861.362.692.362.902.932.851.132.072.260.922.011.871.192.381.993.912.863.332.302.41-6.331.97-1.89
0.350.350.360.370.360.360.360.370.370.370.350.350.350.330.300.330.290.320.320.330.320.320.320.340.350.350.360.360.350.400.410.410.420.410.390.460.430.420.460.420.800.760.740.730.720.710.700.690.720.740.740.740.720.710.680.690.710.660.610.680.610.58
2.482.412.462.422.312.292.202.252.232.282.452.362.552.432.372.552.222.452.182.482.302.372.342.472.592.632.732.722.662.712.782.952.802.672.823.312.952.763.092.872.952.822.912.922.772.712.672.712.882.953.023.012.852.742.762.983.143.013.143.362.982.93
5.595.545.895.395.365.405.785.335.365.456.195.345.375.355.515.874.864.845.245.014.445.685.395.805.976.136.396.065.765.726.075.945.886.146.046.496.176.116.096.005.965.835.855.946.005.876.135.956.126.606.506.186.186.376.456.216.056.156.316.565.925.82
16.1016.2315.2916.6916.7916.6715.5816.8816.7916.5214.5516.8616.7616.8316.3515.3318.5418.5817.1717.9720.2715.8316.7115.5115.0814.6814.0814.8615.6215.7414.8215.1615.3014.6514.8913.8814.5914.7214.7915.0015.1015.4315.3815.1514.9915.3314.6815.1314.7113.6413.8414.5514.5614.1313.9514.4914.8714.6414.2713.7215.2115.45
1.080.810.62-2.43-2.30-0.471.622.713.864.356.077.614.512.972.994.273.512.603.492.344.823.174.163.774.362.6013.633.744.423.486.214.074.954.434.722.673.553.323.391.533.853.253.994.163.992.752.843.531.342.802.691.763.252.745.364.004.883.303.48-10.342.55-2.27
7.936.274.84-19.44-17.10-3.1910.5817.6328.6037.6873.45173-168.08-42.06-25.50-28.73-19.28-12.03-15.56-8.71-16.99-9.18-11.05-13.10-15.64-9.08-43.97-7.89-8.15-17.80-27.42-18.41-24.66-21.83-22.63-12.17-15.57-12.23-11.04-4.425.574.795.896.185.934.094.265.302.044.264.132.745.044.308.586.628.435.936.43-19.685.58-5.21
0.520.400.31-1.22-1.18-0.250.871.462.082.323.063.742.111.381.331.911.521.121.511.002.021.321.711.661.891.125.821.411.601.512.671.752.161.931.981.131.471.321.300.572.141.772.132.132.061.431.451.790.691.491.390.901.641.392.631.932.311.501.47-4.321.13-0.96
0.700.530.43-1.71-1.57-0.331.161.942.713.044.205.202.961.851.782.512.001.482.091.382.771.762.592.332.551.507.831.992.252.173.842.483.052.702.921.652.191.971.930.833.042.513.073.193.062.102.162.680.962.061.961.282.392.003.862.843.252.052.05-5.961.51-1.29
50.9951.0451.2351.2853.1254.9455.5855.0353.8452.9251.0848.9245.7344.0343.2442.1541.1139.9839.9138.5138.7437.1536.2335.0033.9833.0332.5428.6928.2427.3426.8026.6626.6526.5126.9325.0825.8225.0524.3723.6819.0618.5218.5818.1217.7517.2217.0616.8316.3116.2215.7415.3615.4215.0114.5513.8013.1512.5312.1611.7812.7712.29
5.543.323.666.175.032.712.137.405.223.363.9210.527.263.703.7910.617.443.452.446.874.182.572.378.035.213.083.047.023.922.653.046.964.832.812.746.224.041.951.953.241.530.741.023.582.090.630.523.211.951.220.902.751.790.530.983.782.841.291.452.581.811.09
3.061.572.66-0.66-0.48-1.150.482.201.571.042.817.214.912.173.007.334.951.741.593.431.540.771.504.782.811.572.244.141.801.392.505.183.501.912.274.162.500.901.401.500.30-0.080.622.060.94-0.160.091.340.510.290.411.060.57-0.300.562.331.780.591.151.591.150.66