TTM Technologies Financial Ratios for Analysis 2009-2024 | TTMI

Fifteen years of historical annual and quarterly financial ratios and margins for TTM Technologies (TTMI).

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
2.031.962.522.411.421.791.701.471.371.611.762.071.541.626.44
0.380.360.390.370.490.540.490.520.550.340.400.410.290.350.29
0.610.610.640.581.151.220.971.231.420.700.810.740.530.630.41
18.5118.3616.5417.0517.6817.9916.1616.7214.8014.6915.9216.6821.0921.5717.72
1.908.435.601.335.145.328.006.852.933.515.05-10.536.3810.643.17
1.908.435.601.335.145.328.006.852.933.515.05-10.536.3810.643.17
9.1913.8911.3613.3416.1116.0614.9814.7210.9412.1013.0912.2514.0716.528.01
0.017.333.12-2.201.612.115.262.640.431.682.91-12.485.139.211.39
-0.843.792.428.431.947.764.671.38-1.241.111.60-12.952.936.060.83
0.670.750.740.730.600.650.961.010.790.830.820.800.820.671.07
8.5411.9414.7115.1015.4416.787.577.846.647.798.337.708.716.837.97
5.314.605.825.524.244.285.495.854.604.244.714.474.514.106.51
68.7179.3662.7166.0786.1785.3366.4462.3679.4386.1477.4781.6180.8889.0256.10
-1.246.163.74-1.132.5011.0312.334.29-3.102.053.39-24.065.129.591.42
-3.2719.429.41-3.1212.9316123.2810.78-7.792.153.59-25.737.1714.871.56
-0.562.851.80-0.570.903.924.481.42-0.970.921.43-10.802.704.530.89
-0.773.922.28-0.721.275.036.282.05-1.391.352.02-14.143.666.191.01
14.8015.0214.0613.5212.1211.839.938.268.348.588.539.1911.3410.387.90
1.822.631.632.702.932.042.512.942.561.550.862.232.191.781.70
0.871.690.891.741.650.921.582.141.720.250.430.560.470.931.45

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
2.042.092.031.972.222.201.961.941.912.452.522.512.532.622.411.891.561.941.421.921.911.921.791.771.741.841.701.651.421.421.471.411.511.521.371.491.461.601.611.541.751.831.761.591.801.902.071.981.641.631.541.431.471.511.621.561.776.356.446.075.715.26
0.370.380.380.370.360.370.360.380.390.390.390.390.390.390.370.380.370.490.490.540.540.540.540.560.580.480.490.510.490.500.520.520.550.560.550.570.570.310.340.340.380.390.400.400.420.390.410.420.310.290.290.290.320.320.350.370.390.290.290.290.290.29
0.600.600.610.580.560.580.610.610.630.640.640.630.630.640.580.781.031.161.151.181.201.191.221.331.400.930.971.031.071.171.231.271.301.351.421.451.430.630.700.710.790.780.810.800.800.730.740.780.560.540.530.540.610.570.630.670.770.410.410.410.400.41
19.3718.1920.2719.7818.0215.8219.6719.1618.7215.6416.2716.7417.6115.5016.8017.3817.6116.3518.7115.9617.6218.4267.3017.1416.2013.3617.8314.5215.2916.8018.8017.0716.2214.3316.1913.6713.7415.6617.5214.2212.9713.1919.1814.3014.3415.5916.1115.4316.7018.7919.7519.7321.1223.9024.1022.4518.4019.5118.4617.4118.7316.29
6.442.996.08-1.783.92-0.6415.817.425.954.455.535.797.213.765.57-7.844.033.255.493.965.505.612.657.224.434.529.616.617.188.419.867.835.763.245.463.62-1.582.516.803.571.071.538.01-0.358.393.895.43-59.785.547.264.8810.15-2.3313.3314.1012.775.597.144.43-3.888.433.38
6.442.996.08-1.783.92-0.6415.817.425.954.455.535.797.213.765.57-7.844.033.255.493.965.505.612.657.224.434.529.616.617.188.419.867.835.763.245.463.62-1.582.516.803.571.071.538.01-0.358.393.895.43-59.785.547.264.8810.15-2.3313.3314.1012.775.597.144.43-3.888.433.38
--------------------------------------------------------------
5.052.473.14-3.012.45-2.5213.467.335.462.833.454.245.31-0.822.43-12.220.86-0.221.431.232.171.61-19.684.572.442.287.263.414.195.962.215.502.96-0.293.031.01-4.480.635.762.33-0.87-1.943.74-1.286.822.274.35-62.983.535.653.798.64-3.2211.7813.0811.623.595.122.84-5.806.661.55
4.351.843.05-6.471.25-1.070.986.494.442.971.403.764.98-0.617.33-8.0731.87-0.244.722.970.65-0.6151.743.5711.721.526.663.223.285.27-0.283.993.08-1.251.42-0.34-8.221.053.572.22-1.04-1.303.09-2.283.891.583.60-61.462.264.193.096.83-5.717.918.848.131.593.241.58-3.514.120.96
0.180.170.170.180.170.170.190.200.190.190.200.180.190.180.180.160.160.140.150.150.150.160.030.220.210.240.270.250.240.250.280.250.240.230.250.240.170.220.240.220.190.190.220.210.210.190.230.200.180.170.210.200.200.190.210.210.190.250.280.260.260.28
2.252.122.132.232.402.592.912.642.423.573.923.313.703.673.773.333.823.443.833.553.553.810.305.124.957.002.061.931.881.892.131.891.861.892.081.921.301.802.221.951.771.822.142.002.141.822.192.022.071.832.241.952.051.802.092.081.981.802.031.861.881.81
1.511.551.351.441.391.261.141.401.321.411.551.431.501.441.371.370.781.091.061.011.091.040.191.331.321.311.531.401.391.491.631.431.421.351.471.340.961.351.251.241.221.331.261.271.011.101.271.081.061.021.141.191.241.171.301.191.201.411.671.381.371.33
59.6058.0266.4762.4764.8071.6979.1164.4968.3263.8658.1362.7660.0862.7065.4865.7111582.9584.6089.2982.4686.7146467.7867.9968.4858.9064.1264.9860.3655.1363.1063.4866.7061.3667.3693.8266.6272.0372.7873.9167.5471.3871.0389.0881.6171.1083.2685.2187.9878.8275.6672.4276.6769.3575.4075.0464.0453.7465.2665.8767.49
1.720.691.15-2.470.44-0.380.392.861.891.190.581.431.92-0.222.70-4.390.65-0.250.840.191.020.511.162.307.360.964.882.262.283.80-0.223.022.26-0.871.17-0.26-4.350.481.951.08-0.45-0.551.60-1.162.060.861.55-29.090.811.311.342.89-2.343.324.394.090.891.290.69-1.451.750.43
4.281.763.03-6.771.28-1.141.248.846.222.971.453.624.93-0.607.42-13.092.15-1.264.371.6410.726.1216.99190-261.241.739.204.574.908.73-0.557.425.90-2.192.94-0.70-9.880.502.041.13-0.47-0.581.70-1.242.210.921.66-31.301.111.821.884.21-3.494.986.806.541.491.410.76-1.591.930.47
0.790.320.52-1.130.22-0.180.181.320.860.570.280.690.93-0.111.35-1.950.26-0.090.300.070.360.180.410.772.410.361.770.810.811.31-0.070.990.74-0.290.37-0.08-1.370.230.870.49-0.20-0.240.68-0.480.870.390.70-12.740.410.700.711.46-1.131.632.071.900.400.810.44-0.901.090.26
1.080.430.71-1.570.28-0.240.251.781.160.730.350.881.18-0.131.70-2.750.41-0.130.430.090.460.230.531.003.120.502.481.121.171.91-0.101.441.03-0.390.52-0.11-1.880.331.280.71-0.28-0.330.96-0.701.190.530.91-16.920.560.930.962.05-1.592.272.832.590.540.920.49-1.031.250.30
15.0014.9514.8014.5914.8714.8915.0214.9014.4314.2814.0613.8813.6413.4713.5213.1113.5512.0212.1211.8211.6511.6411.8311.3311.0110.199.939.368.948.588.268.518.288.178.348.338.488.578.588.528.318.448.538.048.069.259.198.9211.4011.4911.3411.0810.6710.7810.389.819.457.947.907.807.887.71
0.830.421.821.350.770.542.631.881.120.351.631.050.890.392.702.171.370.262.931.710.930.352.040.890.31-0.132.511.370.820.382.941.570.770.182.560.980.930.801.550.920.400.550.860.720.830.132.231.410.880.412.191.801.290.451.780.450.260.141.701.330.990.36
0.320.010.870.850.600.581.691.150.630.120.890.490.500.191.741.380.86-0.041.650.870.450.080.920.04-0.29-0.521.580.670.300.202.141.090.49-0.021.720.420.650.610.25-0.06-0.230.200.430.560.27-0.010.560.350.160.080.470.590.420.130.930.200.060.151.451.130.860.28