Trane Technologies Financial Ratios for Analysis 2009-2024 | TT

Fifteen years of historical annual and quarterly financial ratios and margins for Trane Technologies (TT).

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
1.131.121.361.591.771.331.271.551.261.561.681.391.281.471.13
0.360.380.420.410.400.350.290.360.390.380.310.240.290.270.29
0.680.790.770.820.760.580.560.610.720.700.490.450.520.460.57
33.1331.0531.6230.5430.5230.4730.8931.1030.2530.3229.3828.8227.2828.1527.46
16.3715.1314.3112.3112.7712.2511.7311.8711.2210.908.958.943.449.016.80
16.3715.1314.3112.3112.7712.2511.7311.8711.2210.908.958.943.449.016.80
18.3417.1516.4314.6714.9814.5414.2214.4713.9513.4711.6511.736.2512.1310.04
14.5213.5812.6710.3410.7010.199.9912.899.389.386.727.071.487.224.57
11.4510.9810.076.8610.7910.849.1710.935.007.235.018.502.694.593.47
0.910.880.780.690.640.690.780.780.800.750.700.650.680.700.65
5.495.536.317.277.115.126.316.726.586.617.487.467.267.818.02
5.985.755.825.665.994.615.736.086.186.085.966.415.986.296.21
61.0563.4562.7364.5460.9879.2263.6960.0659.0260.0061.2256.9461.0957.9858.76
29.4829.4223.2315.4315.8714.4818.5621.7312.0315.158.9810.962.049.717.15
-82.16-67.46-57.43-45.02-102.06-40.44-54.12-53.57-18.72-29.27-27.48-34.23-4.18-30.45-11.46
10.679.938.075.465.665.717.368.394.235.293.634.290.763.912.57
18.8218.1613.549.089.489.4713.1614.007.379.366.238.341.457.135.09
30.8926.6826.6726.9130.6929.2028.8925.9422.5023.0025.2324.4623.6124.5622.38
10.366.406.565.907.855.635.905.823.323.553.663.853.502.055.27
9.095.205.705.307.024.535.055.152.452.752.933.123.001.564.72

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
1.221.171.131.131.291.191.261.121.141.091.311.361.621.581.591.591.671.661.551.771.281.231.581.331.411.301.411.271.241.501.531.551.541.431.221.261.221.241.281.561.251.251.441.681.461.331.231.391.211.371.311.281.371.481.461.471.271.191.151.131.181.161.08
0.360.380.370.360.400.420.430.380.390.400.430.420.410.410.420.410.410.440.440.400.400.410.430.350.340.350.340.290.300.350.360.360.350.370.390.390.390.390.390.380.290.290.330.310.310.310.240.240.230.280.280.290.270.260.260.270.280.290.290.290.310.340.35
0.690.760.710.680.720.800.800.790.820.840.810.770.750.770.790.820.830.880.960.760.770.800.810.580.560.640.610.560.590.600.610.610.600.630.760.720.790.750.790.700.560.550.560.490.490.670.440.450.440.450.500.520.470.430.450.460.480.540.550.570.580.690.79
36.2936.4734.6333.2533.9633.6831.1929.9432.7731.5829.4729.1832.3733.1831.5929.8232.4631.1728.1128.8031.8231.9229.0515.9132.5631.9828.4929.7332.1632.1229.1430.1132.3732.0429.4730.3431.7630.7127.7430.2331.2631.1328.2128.5431.0030.0427.5316.7131.6930.8128.6113.0129.5130.0227.6527.0729.1328.9827.3628.8428.8027.1224.77
18.8319.4915.0415.5417.7018.8212.4614.2516.9116.9611.5712.2115.6817.0011.7012.2016.2213.495.8510.3715.4615.678.447.2514.5614.697.1910.6913.7914.277.1710.5014.3413.927.7911.8213.6312.565.9210.6913.0013.085.697.0311.8111.404.55-4.6212.4612.516.73-5.544.627.301.288.6511.0110.445.047.959.387.511.70
18.8319.4915.0415.5417.7018.8212.4614.2516.9116.9611.5712.2115.6817.0011.7012.2016.2213.495.8510.3715.4615.678.447.2514.5614.697.1910.6913.7914.277.1710.5014.3413.927.7911.8213.6312.565.9210.6913.0013.085.697.0311.8111.404.55-4.6212.4612.516.73-5.544.627.301.288.6511.0110.445.047.959.387.511.70
---------------------------------------------------------------
17.7918.3313.0613.9016.3116.2910.6312.8315.2115.599.8811.0613.9515.469.4510.1514.3011.533.938.1713.4513.955.97-4.4213.1513.464.928.9812.1112.595.217.9812.6423.095.899.2612.3811.623.108.8911.7411.823.865.298.809.512.27-8.3511.2610.994.52-10.193.385.61-0.667.129.368.642.695.407.185.22-0.17
14.1914.2310.3511.4012.8312.468.3810.7812.5312.157.758.9010.9112.137.797.7011.467.61-1.119.3013.2212.617.1344.5112.7810.283.5612.7110.009.183.905.9210.5820.275.277.028.632.191.787.888.618.642.901.545.169.333.3316.558.959.573.0316.312.202.26-2.375.276.225.640.054.406.263.54-0.91
0.260.260.220.230.260.250.200.230.250.240.190.200.200.210.170.180.190.180.150.160.170.180.140.030.220.240.180.200.210.220.170.190.200.210.170.200.200.200.170.190.200.210.160.180.170.170.140.080.190.200.170.080.200.200.160.200.180.170.140.160.170.170.14
1.701.531.161.371.471.321.081.431.511.521.261.651.701.851.501.881.921.601.301.771.251.261.000.291.491.711.361.631.501.651.331.691.551.571.271.641.511.531.291.661.641.761.451.901.531.661.301.041.681.791.571.011.821.801.502.281.721.731.471.921.891.851.41
1.601.551.431.501.551.471.411.471.521.521.381.471.531.511.401.441.511.361.261.461.171.161.030.211.461.481.351.461.491.511.361.511.511.481.341.551.491.461.321.531.471.451.311.501.321.321.190.761.551.571.410.701.651.571.401.811.511.231.271.511.621.521.28
56.1358.2262.7660.1557.9261.2163.9861.4259.0359.2465.1761.2658.8559.5164.4062.3459.5466.4271.2861.7676.9877.3387.0042361.4560.8666.9161.6360.5259.7965.9759.5759.5560.9667.0258.2060.4661.5768.2658.8561.2262.2268.9560.1668.4168.1075.6711858.1457.1863.7112954.4657.3064.1349.7659.5172.9370.7059.5455.4359.2970.31
10.3311.016.447.369.539.515.237.359.559.004.495.256.507.253.753.896.434.670.912.935.315.752.13-1.427.236.721.876.775.385.211.923.045.3811.722.204.075.491.481.083.584.794.891.271.173.173.830.75-0.234.514.941.43-0.391.351.55-0.762.973.613.430.282.083.252.13-0.24
-40.05-31.40-17.53-20.52-27.11-20.87-11.73-16.86-20.43-17.22-9.83-12.97-20.88-22.46-10.50-11.36-20.54-11.65-2.05-18.83-10.71-10.53-5.553.96-22.84-15.91-4.88-19.74-13.40-12.93-4.56-7.49-13.26-24.09-3.36-6.34-8.08-2.23-1.58-6.92-10.34-10.71-2.63-3.56-7.65-8.96-1.900.73-12.06-12.49-3.310.81-3.62-5.552.50-9.32-7.29-5.83-0.46-3.33-5.10-2.970.30
3.763.802.302.663.383.161.772.483.162.921.531.822.322.551.331.382.291.620.301.041.902.000.74-0.562.902.490.732.692.081.990.741.172.084.360.761.431.780.490.361.251.801.840.480.471.201.350.30-0.091.821.950.55-0.150.530.63-0.311.201.371.210.100.751.160.71-0.08
6.596.804.094.705.725.553.004.545.805.422.573.063.844.282.192.293.772.630.511.753.173.411.21-0.934.794.341.234.803.763.371.231.963.497.441.352.503.340.900.662.213.383.470.850.812.202.660.58-0.183.463.561.03-0.280.981.15-0.562.182.622.440.201.482.251.42-0.16
33.8130.8430.4830.8829.4127.5026.5526.6825.4824.7725.7326.6727.3227.1726.4026.9126.5924.9024.2030.6930.3829.7128.7329.2029.9027.8228.7928.8927.3226.7525.8525.9426.4625.1422.7522.5022.1822.1921.8723.0023.8324.0223.5325.2324.9524.6624.5824.4625.0223.9624.4323.6124.6025.2724.7724.5623.6822.1722.1322.3822.4521.4220.37
9.854.121.0810.366.312.310.046.403.180.99-0.796.564.803.081.075.903.32-0.51-1.357.854.311.61-0.215.633.601.51-0.265.903.401.56-0.175.824.271.64-0.033.320.940.63-0.473.551.830.48-0.433.662.981.42-0.033.852.360.970.053.502.180.95-0.192.051.720.76-0.195.274.572.830.16
8.783.440.719.095.371.73-0.305.202.310.38-1.115.704.302.770.895.302.95-0.75-1.507.023.691.23-0.414.532.590.86-0.475.052.821.26-0.305.153.791.33-0.182.450.350.22-0.662.751.300.15-0.592.932.421.00-0.233.121.850.65-0.113.001.940.82-0.311.561.410.57-0.294.724.152.530.01