TotalEnergies SE Financial Ratios for Analysis 2009-2024 | TTE

Fifteen years of historical annual and quarterly financial ratios and margins for TotalEnergies SE (TTE).

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
1.121.151.171.231.211.281.501.331.381.451.371.381.361.451.45
0.250.280.300.360.290.250.270.300.320.330.250.240.250.260.27
0.420.530.560.730.520.450.460.560.600.600.440.460.460.500.50
34.6735.6535.7535.2734.0631.6633.3334.8232.6027.8529.4430.4531.6233.6736.64
15.2717.4912.90-4.669.219.017.064.483.295.0510.3912.2414.5813.4413.23
15.2717.4912.90-4.669.219.017.064.483.295.0510.3912.2414.5813.4413.23
21.5822.6920.6714.4318.5116.9318.2015.7516.7714.8816.2517.9919.7619.9319.57
15.9016.4414.06-5.869.829.817.605.614.496.0711.5313.0616.0014.9714.61
9.777.808.68-6.056.396.225.794.843.552.004.935.837.557.697.69
0.770.870.630.450.640.720.610.550.640.920.951.041.020.980.88
7.407.395.955.266.788.466.025.477.3710.077.287.106.285.975.12
9.3410.808.408.519.5310.6610.0110.4713.4913.509.739.248.317.747.13
39.0833.7943.4642.9038.2934.2436.4634.8527.0527.0437.5039.4943.9447.1851.16
18.0118.3714.23-6.929.599.787.286.115.024.5411.1414.4615.7117.5214.82
24.9025.4719.83-10.1113.2812.958.347.205.925.3913.5617.5819.1320.5517.29
7.586.935.58-2.764.194.503.422.692.131.854.826.136.647.366.09
13.4513.179.95-4.416.857.305.344.293.423.068.3511.0611.8513.0310.82
50.7946.1644.1239.9845.8544.7345.0941.7939.1039.2145.5742.37---
16.7118.4211.495.699.149.428.956.918.4711.2212.5512.7312.1010.947.73
10.9912.537.121.844.964.323.84-0.05-1.091.200.232.251.873.680.41

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
1.111.091.121.151.171.141.151.181.211.201.171.171.161.191.231.351.311.171.211.221.251.271.281.281.351.411.501.471.471.431.331.351.351.381.381.421.431.441.451.441.381.441.371.441.371.381.381.391.321.391.361.401.251.401.451.361.451.451.451.421.491.53
0.260.240.250.260.260.270.280.270.280.280.300.310.320.320.360.370.370.300.290.290.280.270.250.250.240.250.270.260.270.280.300.310.290.300.320.300.300.300.330.290.270.260.250.250.230.230.240.250.240.240.250.250.250.240.260.270.270.260.270.280.280.27
0.450.460.420.490.480.510.530.510.520.540.560.590.630.650.730.730.750.590.520.530.520.480.450.470.450.450.460.460.500.520.560.570.550.540.600.570.560.560.600.530.500.460.440.450.440.440.460.480.460.440.460.490.520.500.500.550.510.460.500.510.540.45
34.7034.8932.1638.1134.2934.1438.0034.1135.4935.0234.6134.0935.8239.4436.6037.9644.2327.2434.9734.4232.7734.1327.8433.1633.6331.9833.2634.2932.1433.5434.9933.3135.2035.9132.2630.5432.8934.5223.7328.7628.1730.1228.5430.1228.6030.5129.9832.7027.5531.50-0.8237.4637.2737.6218.4928.1341.1230.5429.5428.5032.6633.33
12.2317.1015.7417.4312.3115.4315.6220.2518.2615.7114.4613.0011.7211.814.444.65-38.20-0.138.338.508.9311.003.4212.1710.829.522.8010.057.098.862.105.855.654.73-11.443.5310.268.54-14.9810.409.4512.309.2012.5210.889.0810.1013.478.8216.3450.6110.7811.5723.2032.9123.5815.3624.3824.4927.3527.4729.70
12.2317.1015.7417.4312.3115.4315.6220.2518.2615.7114.4613.0011.7211.814.444.65-38.20-0.138.338.508.9311.003.4212.1710.829.522.8010.057.098.862.105.855.654.73-11.443.5310.268.54-14.9810.409.4512.309.2012.5210.889.0810.1013.478.8216.3450.6110.7811.5723.2032.9123.5815.3624.3824.4927.3527.4729.70
--------------------------------------------------------------
13.3616.8615.2918.5512.8816.6615.4119.7415.7414.8817.2715.179.3913.073.253.20-41.30-0.098.0710.319.6811.193.8313.0712.419.813.6210.407.259.622.517.017.725.72-9.854.3711.729.45-14.0511.7410.7312.8210.3413.6111.9710.3210.7214.579.6817.0611.7714.8514.0016.2511.3613.2014.1513.8711.5011.2613.0313.75
7.7011.039.2512.277.939.547.7310.208.085.1010.569.475.308.662.750.74-38.810.095.996.586.106.892.448.188.076.092.467.355.917.891.496.146.585.84-5.043.097.577.20-12.116.395.526.083.806.616.063.365.076.743.567.834.827.186.068.575.067.047.676.955.705.876.907.62
0.180.180.190.190.180.200.210.190.210.200.190.170.150.140.120.110.080.150.160.160.170.170.180.180.180.170.170.160.150.160.160.140.140.120.140.150.170.160.200.220.230.230.250.240.250.260.260.260.260.280.280.290.300.330.290.280.290.280.300.280.250.25
1.591.671.921.501.801.681.731.751.591.701.811.651.391.451.391.360.952.431.651.721.851.742.251.641.661.731.671.651.641.601.571.451.371.271.671.641.521.572.351.851.721.761.901.811.961.841.791.771.891.701.561.811.781.761.561.691.581.531.551.581.391.51
2.382.142.342.312.332.412.622.302.292.002.522.472.422.202.302.111.602.142.352.292.222.342.682.422.722.442.782.702.672.953.022.772.662.253.042.842.722.392.982.642.592.352.512.242.172.062.322.242.262.052.262.442.442.532.282.312.332.092.442.442.072.06
37.7841.9838.5239.0338.7137.2934.3139.0639.3445.0335.7836.4337.1640.8439.1442.6356.2742.0638.3539.2940.5238.5433.5637.2133.1436.9532.3433.3433.7330.5129.8132.5233.8739.9629.6231.7433.0437.6430.2434.0534.7438.3235.8740.2241.4943.6938.8540.2339.9143.8939.8236.9436.8635.6339.5639.0338.7042.9836.8736.8743.5643.76
3.214.794.225.653.574.754.415.594.842.875.134.202.083.060.850.17-8.130.002.222.432.352.611.003.393.022.140.642.451.842.610.481.962.101.63-1.891.073.002.56-6.253.402.953.232.253.763.522.083.164.242.205.093.154.924.346.743.464.915.254.554.164.104.234.45
4.446.605.837.824.906.616.118.016.993.947.155.922.984.351.240.25-11.960.003.083.323.123.431.324.383.802.670.732.832.121.280.562.302.441.91-2.231.283.583.06-7.414.123.593.932.744.524.292.543.845.132.716.233.835.825.067.894.065.856.115.324.864.654.795.02
1.382.051.782.311.481.921.661.931.741.062.011.610.841.270.340.07-3.250.000.971.061.051.190.461.551.441.030.301.170.871.200.210.860.940.72-0.800.461.291.10-2.541.431.261.410.971.631.540.891.341.810.942.191.332.091.792.851.451.962.211.921.711.661.741.91
2.373.653.154.202.653.493.164.083.482.073.592.901.412.080.540.11-5.100.001.591.721.701.910.752.532.291.620.471.811.341.870.341.361.491.14-1.290.752.101.79-4.202.402.152.391.692.812.701.602.423.181.673.882.383.683.275.112.573.573.833.393.042.963.063.27
51.9652.1950.7949.4347.9347.5646.1646.0745.8245.9344.1242.88--39.9820.6839.5943.9845.8543.9944.7145.5644.7345.2445.1147.3445.0945.1444.1443.4641.7942.2542.2342.4839.1043.0943.8843.1139.2145.6246.72-45.5742.1840.8240.9242.3739.1739.8740.04------------
4.720.9116.7110.036.032.0418.4216.139.072.1711.496.924.772.125.691.811.360.389.146.723.761.399.425.223.150.818.955.333.761.916.913.841.940.808.476.303.981.9211.227.994.652.3412.558.334.292.1712.739.156.493.0512.0210.496.883.4610.898.685.713.437.766.523.612.34
1.88-0.3810.995.272.530.0912.5311.825.930.637.124.203.021.291.840.560.42-0.304.963.911.700.364.321.460.54-0.633.841.841.380.83-0.05-0.73-1.01-0.63-1.09-1.22-1.59-1.141.200.81-0.210.400.230.23-0.84-0.452.252.021.560.351.8610.496.880.213.663.892.191.310.411.210.150.92