Tupperware Brands Financial Ratios for Analysis 2009-2024 | TUPBQ

Fifteen years of historical annual and quarterly financial ratios and margins for Tupperware Brands (TUPBQ).

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
20222021202020192018201720162015201420132012201120102009
0.431.200.600.780.820.961.000.900.861.061.101.141.701.51
-0.011.454.801.851.641.250.740.790.770.710.460.450.350.40
-1.66-3.26-3.34-3.16-3.78-6.183.354.794.493.381.291.220.540.67
63.9666.5867.8166.2866.5667.0167.7167.4166.0866.6966.8666.6366.6966.23
1.8115.4412.4410.4615.4510.3116.0013.8014.1115.1011.8613.2414.3212.96
1.8115.4412.4410.4615.4510.3116.0013.8014.1115.1011.8613.2414.3212.96
8.2918.8215.2013.8518.2913.0218.6316.5716.5817.1813.8215.2216.5115.45
-0.0512.3013.509.1313.348.2113.6111.3811.4413.4910.5611.4213.0311.14
-17.830.977.920.777.53-11.7710.108.148.2310.267.478.449.818.23
1.751.291.281.281.581.631.391.431.471.451.421.421.141.17
2.162.322.382.222.692.842.972.922.892.842.732.852.752.71
16.2613.2513.0710.7810.6411.1111.6412.1411.3412.2012.1612.2410.399.58
22.4527.5527.9333.8734.3232.8531.3730.0832.2029.9130.0029.8235.1138.09
57.45-69.04-59.99-21.12-66.2822210511511510840.2843.5928.5627.46
57.31-57.41-45.43-16.20-42.811021,733-273.24-253.43-476.8713523069.3594.65
-33.2012.1810.074.6311.91-19.1214.0811.6312.1114.8710.5911.9811.199.63
57.8631.1722817.9942.34-54.6427.3124.1626.8731.4221.6023.8318.5416.46
-9.65-4.47-4.15-5.66-4.83-2.344.203.193.745.038.868.8612.6010.11
-0.752.053.431.752.634.284.674.485.576.095.304.474.693.96
-1.292.304.031.231.943.154.173.624.354.964.153.353.973.36

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
2023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.410.420.430.431.291.331.261.200.550.630.650.600.460.410.770.780.830.860.820.820.800.910.960.960.981.021.031.000.960.940.920.901.031.061.020.861.031.051.061.061.121.251.381.101.191.201.141.141.141.581.781.701.701.621.541.511.661.791.69
-0.01-0.01-0.01-0.011.341.301.501.45-2.903.143.074.80-0.01-0.012.531.851.441.371.441.641.641.411.221.250.720.720.690.740.760.770.780.790.830.770.790.770.710.680.700.710.690.650.590.460.450.470.440.450.430.340.340.350.370.380.390.400.450.500.55
-1.48-1.66-1.67-1.66-4.00-4.40-3.04-3.26-3.04-5.63-4.44-3.34-3.15-2.85-2.72-3.16-5.01-5.97-5.28-3.78-3.99-4.91-7.74-6.183.383.332.923.354.254.684.974.797.184.925.324.493.643.213.393.383.352.391.711.291.291.391.271.221.160.510.520.540.580.620.660.670.811.011.27
63.5662.2259.7163.0764.6264.2063.9660.6165.7768.6370.9470.6668.7366.4165.5062.7366.1667.4766.9265.2966.2267.5967.0165.8066.1468.1367.9767.3267.7367.4368.4267.7166.8967.8967.0766.5464.4666.5366.5966.3466.9167.1766.3966.6566.4467.6566.6866.5366.5367.2266.2365.8666.2167.8666.9466.4466.4666.4865.41
2.166.771.540.32-3.825.364.6110.4515.1517.2818.6027.2911.6411.70-0.199.434.7614.4811.9416.6413.8318.5712.7214.9812.68-0.1913.8818.5917.4414.4313.3215.7611.8416.8110.5217.479.3814.4014.5717.6512.6716.1413.4915.7512.655.2013.4618.045.6315.7812.6817.8811.7714.1712.6719.8910.6610.528.90
2.166.771.540.32-3.825.364.6110.4515.1517.2818.6027.2911.6411.70-0.199.434.7614.4811.9416.6413.8318.5712.7214.9812.68-0.1913.8818.5917.4414.4313.3215.7611.8416.8110.5217.479.3814.4014.5717.6512.6716.1413.4915.7512.655.2013.4618.045.6315.7812.6817.8811.7714.1712.6719.8910.6610.528.90
-----------------------------------------------------------
-17.57-7.60-10.29-10.55-2.737.894.007.2512.7413.3715.6323.4312.1120.79-2.218.483.3213.0010.6514.2511.7516.5510.7613.1210.45-2.2211.5715.5815.2012.4311.0713.809.7114.677.0816.118.1410.3810.6816.2010.8114.6411.8014.5611.323.8712.0916.894.3112.1111.6316.7810.1513.0411.3118.138.239.346.98
-21.49-10.79-13.51-78.03-2.441.125.29-22.848.5510.949.148.1216.05-2.08-30.721.878.297.573.428.0511.926.58-55.475.82-3.098.5413.159.359.288.269.816.9510.535.0712.105.497.067.8712.528.2711.088.7810.487.991.999.1212.851.749.728.7712.327.6310.258.4513.436.286.315.53
0.380.390.400.420.290.310.280.320.310.350.340.300.360.330.290.180.310.330.340.390.360.400.380.420.320.350.330.380.320.350.320.370.310.350.340.380.310.360.350.390.320.380.350.390.330.360.340.370.310.330.320.320.280.310.310.340.280.290.27
0.550.570.600.530.430.500.510.670.490.460.460.500.610.620.570.350.540.580.600.680.590.620.620.770.630.630.660.820.610.680.610.750.600.630.640.740.600.640.680.770.570.680.670.760.590.640.640.750.610.670.700.800.560.630.670.790.610.670.60
2.742.982.953.913.112.852.953.262.882.692.813.032.702.541.741.562.362.292.232.602.382.362.362.902.952.762.673.162.562.762.433.152.392.712.572.962.472.722.613.282.572.842.703.352.622.772.763.202.322.772.772.962.412.672.452.822.272.502.23
32.9030.2030.4723.0228.9031.5530.5227.6531.2333.4931.9929.6633.3335.3751.8157.7638.1739.3140.4134.6237.7738.1138.1831.0430.5132.6433.7328.4935.1532.5637.0028.6137.6233.2135.0230.4336.4533.0334.5227.4734.9931.6833.3726.8934.3732.4732.5928.1138.7432.4632.4830.4137.3133.6836.8031.9239.5936.0540.45
10.246.598.7756.8611.74-7.29-2.44-6.72-27.05-28.28-28.70-18.27-12.05-22.602.149.24-4.22-24.16-20.05-7.36-16.67-36.35-32.9327313.28-7.5717.7137.1225.7229.4225.5936.0929.0334.9317.8644.2912.6216.6819.3435.5118.3422.7213.3015.559.342.7610.8517.351.927.956.7210.225.438.477.1313.195.326.075.60
10.246.598.7756.869.26-5.57-2.04-5.59-21.12-17.26-19.45-13.84-9.06-17.681.787.09-2.69-13.53-11.76-4.75-10.64-20.61-14.0912535.20-21.1083.89612-209.44-125.66-75.35-85.44-32.58-82.12-30.29-97.28-83.25-238.00-147.46-156.17-101.6341758.6752.1728.269.2550.6591.387.9319.2515.7824.8114.5225.1023.4445.4620.2930.85158
-7.90-4.21-5.35-32.87-1.961.050.521.195.002.673.593.072.475.34-0.60-2.030.582.762.561.322.874.772.47-23.521.84-1.072.834.982.953.212.623.642.183.661.704.651.732.512.774.872.654.193.034.092.610.723.074.770.553.252.784.002.143.202.614.621.731.821.48
10.316.648.8457.28-4.022.191.223.03-105.4160.5359.3069.39-12.16-22.77-3.28-7.871.878.968.814.7010.5914.897.19-67.223.73-2.115.439.656.136.675.587.554.937.883.8110.313.705.275.8710.295.607.995.508.345.151.456.119.491.095.264.446.633.435.234.347.902.953.032.50
-11.33-9.87-9.92-9.65-3.94-3.58-5.82-4.47-4.57-2.26-3.09-4.15-4.96-5.75-7.43-5.66-3.79-3.34-3.78-4.83-4.83-3.51-2.12-2.344.654.595.284.203.753.523.363.192.493.563.313.745.085.665.355.035.336.448.218.869.188.259.608.869.4413.3613.3112.6011.6410.8510.5110.119.598.697.31
-0.11-0.50-0.38-0.75-1.31-1.06-0.712.050.070.07-0.223.432.120.92-0.961.750.400.03-0.822.630.28-0.77-0.804.281.600.28-0.354.671.820.63-0.154.481.440.48-0.235.571.750.86-0.366.092.401.330.255.301.980.90-0.434.471.530.79-0.204.691.621.330.233.962.011.39-0.35
0.00-0.35-0.43-1.29-1.85-1.36-0.822.30-0.14-0.05-0.174.032.040.96-1.121.23-0.08-0.43-1.071.94-0.10-0.85-0.983.150.80-0.25-0.664.171.690.17-0.333.620.940.21-0.474.350.960.36-0.564.961.751.020.104.151.250.46-0.753.350.770.42-0.373.971.231.030.093.361.651.17-0.50