Ternium S.A Financial Ratios for Analysis 2009-2024 | TX

Fifteen years of historical annual and quarterly financial ratios and margins for Ternium S.A (TX).

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
3.173.992.682.462.362.421.551.471.511.591.731.712.823.554.34
0.080.050.070.160.200.190.230.070.110.140.160.170.120.170.22
0.140.090.140.240.330.280.560.240.320.380.320.370.290.280.37
20.2123.9338.5018.7217.0725.9423.6825.4717.7720.6422.6220.1822.5323.2617.11
12.4816.4532.7612.368.4818.4115.0215.808.1212.1013.0110.6413.8214.285.98
12.4816.4532.7612.368.4818.4115.0215.808.1212.1013.0110.6413.8214.285.98
16.2220.2036.4419.5814.9723.5519.9121.4413.6216.8617.4314.9518.2519.4713.74
7.5016.2435.8213.278.1117.7414.0215.483.392.6911.055.2510.5516.078.68
3.8410.7723.778.915.5413.159.148.250.10-2.285.342.177.1010.5615.47
0.730.940.940.680.790.910.800.870.980.900.820.790.850.660.48
2.843.602.533.553.923.152.903.274.103.253.403.443.322.903.04
6.4011.387.577.247.947.967.0910.1213.1110.4810.8811.7112.469.7411.33
57.0432.0848.2050.4445.9945.8351.5036.0527.8434.8233.5431.1729.3037.4832.23
5.8715.2035.6910.288.1722.2117.4813.681.24-1.859.352.1412.4511.115.42
6.2416.3238.5411.529.3125.6821.4916.351.53-2.2211.032.5214.5413.246.55
4.0811.9625.546.754.8713.258.448.490.74-1.085.721.287.927.013.29
5.4214.4433.328.666.5318.0913.3912.711.10-1.597.861.7910.939.234.21
85.6470.1462.3343.0139.3038.1329.8125.7723.96------
12.7414.0213.648.978.398.861.965.606.742.585.565.382.603.215.42
5.3111.0810.986.123.046.21-0.123.394.370.331.070.180.191.824.46

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
2.922.743.323.173.253.994.003.994.213.503.202.682.502.252.362.462.602.392.172.362.382.302.182.422.011.601.651.551.521.441.451.471.451.341.501.511.521.481.651.591.711.561.741.731.331.491.581.711.751.872.012.822.682.943.043.553.333.553.934.343.683.283.01
0.100.080.070.080.080.050.050.050.050.050.060.070.080.110.130.160.180.190.200.200.210.210.190.190.200.210.220.230.250.060.070.070.090.100.110.110.120.120.130.140.150.140.150.160.090.140.130.170.150.180.180.120.120.140.140.170.170.190.220.220.260.290.32
0.150.140.130.140.140.080.080.090.100.100.120.140.160.190.220.240.280.310.350.330.350.370.310.280.380.470.500.560.570.290.260.240.280.320.300.320.320.360.330.380.370.360.310.320.330.350.330.370.340.380.360.290.290.270.250.280.280.310.370.370.480.560.67
12.9116.7623.1018.0919.1526.6517.7412.0519.4031.0730.6837.1842.9238.3734.1925.8017.8713.5715.4513.6317.6917.3919.0421.8630.7126.8023.7521.5622.1925.5926.2023.4130.4325.4022.2720.5316.6815.3518.7118.0820.6720.0023.8223.9021.6722.5222.4117.0320.3121.7021.5220.8422.6024.5421.9816.7622.8627.3926.4825.9021.388.0311.08
3.928.2114.1211.7910.1718.909.861.2212.7624.1424.6031.3837.7932.4427.8833.770.333.765.974.109.338.5711.2314.5223.6418.8815.9512.6513.8016.9117.5513.3421.5115.7612.2210.587.225.169.608.8814.1810.5014.8413.9712.4112.9312.725.9211.4911.9412.9812.8214.2714.8613.176.9314.2618.6417.7915.8412.42-4.57-2.26
3.928.2114.1211.7910.1718.909.861.2212.7624.1424.6031.3837.7932.4427.8833.770.333.765.974.109.338.5711.2314.5223.6418.8815.9512.6513.8016.9117.5513.3421.5115.7612.2210.587.225.169.608.8814.1810.5014.8413.9712.4112.9312.725.9211.4911.9412.9812.8214.2714.8613.176.9314.2618.6417.7915.8412.42-4.57-2.26
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5.26-9.6711.1314.39-10.2219.1411.041.999.2526.0924.5534.1440.3437.3829.8033.870.301.7910.913.837.989.0610.7918.6421.3915.9314.9212.1713.2814.6816.6513.4920.8916.0111.05-4.163.694.108.889.03-20.599.0613.8312.3211.1610.6410.08-11.399.669.5712.329.401.5715.5416.588.0716.0516.9924.3522.6510.3817.72-18.18
0.71-16.127.568.39-14.2616.1910.331.123.7018.0118.0223.0526.1826.0818.5630.80-2.272.52-0.513.133.896.547.9813.3017.469.7212.126.517.6910.7512.596.4012.338.275.70-6.991.282.063.222.865.045.866.985.944.564.816.05-12.265.585.147.316.210.268.439.535.3310.7011.9712.4314.278.1951.28-9.96
0.190.190.190.200.210.220.200.200.240.250.240.250.280.260.240.200.180.140.180.170.190.200.210.210.240.250.230.230.220.260.230.220.220.230.210.220.220.220.220.220.230.210.210.200.200.200.200.190.200.190.190.200.230.200.190.170.170.180.160.130.130.110.12
0.780.740.730.820.820.760.900.900.840.670.790.700.720.820.910.961.050.840.920.900.860.930.860.770.780.850.790.850.840.880.810.860.821.020.880.910.920.930.840.830.800.830.780.830.920.870.860.860.840.760.790.810.830.720.820.820.710.860.880.750.920.910.78
1.661.651.591.791.561.821.762.462.001.821.852.041.921.891.902.142.151.941.881.751.791.641.751.831.971.971.692.021.832.222.222.592.372.412.323.012.532.532.462.592.262.162.202.702.342.322.152.822.302.552.712.992.492.692.312.542.622.422.273.122.161.811.39
54.2854.5756.4850.2357.8849.5651.1736.6144.9849.4948.6544.1746.9347.5447.4842.1141.8046.4347.9951.3850.3254.8551.3449.1045.7145.7553.3944.5149.1540.4640.4934.7237.9637.3438.8229.8835.5435.6036.6234.7739.7741.7140.8333.3438.5038.7341.9331.9539.1535.3633.2130.1036.1833.4838.9935.4034.2937.1539.6928.8641.6949.7964.80
0.57-4.602.803.29-4.645.143.360.431.606.836.649.2812.1311.647.7710.24-0.270.57-0.261.171.472.622.935.82-4.806.063.38-5.085.632.805.213.612.58-2.630.770.941.611.102.032.022.361.981.53-12.04-3.911.801.6514.231.990.0915.852.851.4718.123.49-3.11---
0.61-4.922.973.50-4.945.523.610.461.717.327.1310.0213.1812.808.6211.48-0.310.65-0.291.331.682.993.376.739.555.787.304.165.065.986.633.356.264.403.16-3.230.921.141.911.312.382.382.782.341.801.912.31-4.592.091.932.652.330.113.223.401.753.484.184.623.762.614.00-3.52
0.39-3.141.992.29-3.224.102.680.341.265.264.956.648.457.805.146.73-0.170.35-0.150.700.861.501.723.474.492.443.031.632.043.103.431.743.172.141.54-1.570.450.550.970.641.141.221.431.210.930.971.19-2.341.100.981.391.270.061.701.800.931.812.141.941.891.041.50-1.19
0.51-4.232.603.04-4.294.903.200.411.526.486.238.6711.1410.386.768.63-0.220.47-0.200.931.162.062.394.746.493.804.722.593.064.775.222.604.763.272.30-2.340.670.831.410.941.671.741.991.671.391.391.70-3.251.521.351.871.750.082.332.451.222.422.832.892.421.522.21-1.82
83.1782.3089.4385.6485.9272.8972.6070.1468.7368.3665.9462.3357.3950.6746.3243.0139.6238.8038.6039.3038.6939.57-38.13---29.81---25.77---23.96---------------------------
7.315.772.4212.749.083.893.2414.028.773.503.5313.647.864.871.678.977.164.822.268.396.393.812.428.866.023.700.951.961.790.540.445.604.183.061.216.705.153.861.652.551.520.05-0.125.574.312.811.775.363.942.241.462.510.950.351.253.062.202.171.564.714.583.871.61
0.671.400.145.314.691.682.2111.086.622.052.8910.985.823.391.016.124.932.950.943.042.601.321.356.214.262.530.46-0.120.35-0.390.013.392.481.890.714.343.402.711.220.31-0.18-1.17-0.641.080.620.250.660.180.350.190.560.18-1.13-1.060.701.741.371.561.293.883.973.341.34