TDK Financial Ratios for Analysis 2009-2024 | TTDKY

Fifteen years of historical annual and quarterly financial ratios and margins for TDK (TTDKY).

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
1.701.601.481.221.341.291.491.811.641.911.751.621.671.612.140.25
0.190.230.260.130.140.190.260.210.170.150.130.140.200.140.25-
0.360.480.470.480.500.590.580.420.490.350.410.510.530.450.50-1.49
28.6626.8029.7729.3729.5928.6926.8327.3527.8725.9022.4420.6122.1324.9123.62-
8.227.748.767.547.187.806.7317.718.116.693.722.732.277.293.79-
8.227.748.767.547.187.806.7317.718.116.693.722.732.277.293.79-
17.2717.2017.6317.0316.3515.5213.9825.1315.3314.1112.1611.8812.1216.1514.15-
8.527.6712.318.247.038.367.0617.977.976.884.042.211.506.862.71-
5.935.249.335.364.245.954.9912.315.634.881.850.53-0.215.141.59-
0.620.690.620.620.700.690.670.710.790.770.790.730.760.850.74-
3.703.603.053.624.064.344.485.545.295.315.604.904.625.575.88-
3.743.963.633.444.394.484.184.625.094.554.774.484.585.464.94-
97.7092.1710110683.0581.4087.2578.9771.6680.2776.5581.4779.7066.8873.84-
7.367.8113.247.876.749.347.7018.159.736.522.500.210.058.642.99123
8.479.1315.319.428.3111.489.5018.159.736.522.500.210.0511.063.9342.27
3.693.635.773.302.944.143.368.754.593.521.310.100.024.391.50-19.64
5.965.989.866.825.787.565.6914.338.075.562.170.180.047.392.25123
6.245.715.814.784.114.204.143.783.20-------
1.621.020.731.061.070.670.450.750.710.610.660.610.430.630.660.31
0.920.04-0.510.070.25-0.14-0.390.06-0.020.170.330.13-0.350.140.30-0.21

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
1.601.691.701.671.741.531.601.561.511.461.481.491.291.191.221.261.361.391.341.351.411.201.291.281.321.421.491.611.591.461.811.751.391.461.641.611.681.871.911.831.821.671.751.811.771.681.621.741.651.611.671.441.471.521.611.911.922.102.142.232.182.182.41
0.170.180.190.210.230.200.230.240.230.240.260.270.190.130.130.150.180.180.140.130.180.180.190.200.210.260.260.270.280.250.210.240.200.200.170.130.130.150.150.140.140.130.130.170.180.150.140.210.230.210.200.140.140.140.140.230.230.250.250.270.280.270.27
0.350.330.360.410.430.480.480.550.530.550.470.540.500.490.480.560.540.540.500.500.530.650.590.610.590.620.580.570.620.650.420.570.660.610.490.470.400.370.350.370.390.440.410.460.490.500.510.530.590.580.530.560.520.470.450.510.500.510.500.530.540.540.52
32.7432.2426.4932.4530.0125.2315.8429.3630.7729.7927.4131.4231.2828.2025.1331.4131.1328.9525.8331.9731.3728.5025.9230.4430.3627.6325.3028.6127.2126.3324.2629.4228.1126.7227.6629.9327.7726.0019.7826.7825.9324.2018.8824.2322.9920.6810.5520.3822.0922.1820.8220.5422.6123.8623.7624.6525.5625.75100.00100.0023.6419.35-1.99
13.2211.153.5912.5510.655.22-3.4311.6512.388.744.1611.8510.387.34-0.4611.3911.525.96-3.7011.3611.857.424.259.349.707.414.189.517.975.4056.2510.019.265.926.9910.048.916.4931.928.386.924.0413.846.804.961.6824.702.365.394.42-1.815.643.872.734.647.837.719.11100.00100.004.80-1.22-114.07
13.2211.153.5912.5510.655.22-3.4311.6512.388.744.1611.8510.387.34-0.4611.3911.525.96-3.7011.3611.857.424.259.349.707.414.189.517.975.4056.2510.019.265.926.9910.048.916.4931.928.386.924.0413.846.804.961.6824.702.365.394.42-1.815.643.872.734.647.837.719.11100.00100.004.80-1.22-114.07
---------------------------------------------------------------
11.8713.414.7513.7510.654.17-3.6311.6212.438.5919.2812.4411.017.672.0211.6711.126.69-4.5511.5811.877.338.668.838.996.924.559.818.185.8557.759.889.305.887.079.898.166.777.487.406.424.361.896.655.101.91-3.681.364.574.24-1.311.653.501.614.357.537.188.48100.00100.003.12-2.98-84.42
8.0711.491.1411.687.092.93-4.168.519.086.1512.919.828.776.350.727.807.614.26-5.458.297.934.636.066.396.574.723.916.335.913.7837.467.526.754.453.768.275.964.695.305.464.682.420.343.602.410.16-5.750.192.542.141.24-6.052.041.173.095.735.266.541.684.172.13-1.77-64.50
0.160.140.140.170.160.150.160.190.180.160.130.180.180.170.140.180.180.160.160.170.190.170.160.170.190.170.190.170.170.150.140.190.200.200.220.200.210.190.200.210.200.190.210.200.200.190.150.190.200.200.170.190.200.190.220.210.210.210.190.190.190.160.09
0.940.810.840.930.890.850.930.870.810.670.650.830.930.900.881.061.070.850.950.991.151.031.021.021.141.091.291.151.221.141.121.541.421.341.481.311.381.241.021.371.311.291.281.291.311.300.751.171.161.161.041.051.211.161.441.421.421.48--1.631.481.44
0.970.870.820.980.940.890.891.030.970.850.750.990.950.920.791.001.010.970.980.980.991.021.021.030.960.991.180.990.991.000.901.151.151.181.421.211.211.161.201.171.111.161.241.131.211.160.891.131.171.201.011.301.301.281.391.331.301.351.251.301.301.280.80
93.2110410992.3196.0710110186.9992.7010512091.1394.7697.4011489.9189.4692.5492.1592.2290.5188.3588.4186.9793.5490.7476.2090.4991.0690.2510078.4178.5476.0863.3474.6374.4877.2974.7876.7381.2977.4872.7879.5074.1577.5310179.3376.6175.0589.1769.0569.3070.1964.6667.8769.3966.4571.8969.4469.4970.47113
2.713.230.314.052.450.98-1.433.423.602.193.794.203.822.570.223.423.321.57-2.033.233.411.842.172.582.831.941.692.502.391.3810.633.403.362.071.963.352.471.672.002.151.790.900.131.401.000.06-1.680.081.080.920.91-2.360.840.461.322.442.222.780.631.630.82-0.58-10.92
3.093.690.364.672.841.15-1.673.994.222.584.384.924.513.060.264.134.051.93-2.513.934.192.592.673.643.992.402.083.083.421.8010.633.403.362.071.963.352.471.672.002.151.790.900.131.401.000.06-1.680.081.080.920.91-2.360.840.461.682.442.222.780.831.630.82-0.58-14.72
1.341.640.161.981.170.46-0.671.571.650.971.651.761.601.060.091.401.400.67-0.891.441.500.780.961.111.230.830.741.111.020.585.121.481.380.890.931.681.270.891.081.150.940.460.070.710.490.03-0.830.040.500.430.44-1.130.410.230.671.201.091.380.320.800.40-0.29-5.50
2.262.660.253.211.880.78-1.102.612.781.662.823.083.092.240.192.922.731.28-1.742.802.811.511.762.062.241.431.251.831.711.038.392.572.691.651.632.922.151.421.711.841.530.780.121.170.820.05-1.440.060.840.730.73-2.030.720.391.131.891.712.080.471.190.59-0.42-7.92
--6.24---5.71---5.81---4.78---4.11-4.324.094.204.094.19-4.14-3.96-3.78---3.20----------------------------
0.730.241.621.190.740.221.020.690.21-0.030.730.850.060.011.060.820.530.051.070.720.290.040.670.420.04-0.170.450.14-0.05-0.090.750.510.280.040.710.490.270.110.600.390.210.100.680.420.270.120.620.430.290.140.000.300.000.090.000.000.000.120.660.000.260.100.31
0.450.130.920.720.390.030.04-0.07-0.32-0.31-0.51-1.44-0.96-0.280.070.05-0.16-0.170.250.11-0.14-0.20-0.14-0.11-0.32-0.37-0.39-0.44-0.42-0.270.06-0.05-0.14-0.20-0.020.02-0.05-0.010.170.080.01-0.010.340.180.130.040.130.050.02-0.02--0.21--0.08---0.040.30-0.060.02-0.21