TXNM Energy Financial Ratios for Analysis 2009-2024 | TXNM

Fifteen years of historical annual and quarterly financial ratios and margins for TXNM Energy (TXNM).

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
0.390.460.490.390.300.590.350.470.600.580.821.021.241.051.03
0.640.630.610.560.590.600.550.550.530.470.490.500.500.470.46
1.981.911.681.571.821.651.551.531.351.141.081.081.051.030.95
53.9149.5355.6861.5861.9061.7762.2961.3555.4354.2356.1856.4048.6246.4245.18
11.9317.5017.3118.739.8916.4321.8020.898.6420.8720.6720.3915.1314.3111.65
11.9317.5017.3118.739.8916.4321.8020.898.6420.8720.6720.3915.1314.3111.65
30.1732.6735.3039.3923.0135.6240.3638.6524.1335.4935.6735.7726.6221.9422.18
4.679.3913.7313.654.597.5915.6214.323.2113.9712.6113.0418.37-3.795.75
4.537.5411.0011.345.315.965.538.571.098.107.247.8610.37-2.707.54
0.190.240.210.190.200.210.220.210.240.250.250.250.330.320.31
9.1217.0112.128.817.137.658.197.219.5210.339.059.8116.1117.0917.84
9.2610.9012.1110.6614.1512.8112.5711.2310.8110.789.185.556.706.565.26
39.4333.4830.1434.2425.7928.4929.0332.4933.7733.8739.7765.7754.5155.6769.43
4.468.259.538.885.295.785.427.561.807.296.607.1111.53-1.923.79
5.019.3610.8310.176.256.826.388.922.138.577.798.4513.74-2.254.39
1.042.002.442.361.261.481.442.040.522.262.102.243.67-0.601.23
1.613.013.683.872.162.282.413.400.843.813.373.565.72-0.941.93
26.7226.2926.0324.7022.0122.1522.2622.0521.8222.6822.1221.3520.9420.0021.35
6.386.586.366.054.445.356.535.104.835.174.813.503.263.140.96
-5.70-4.01-4.50-2.410.17-0.910.29-2.39-2.14-0.570.48-0.34-0.390.06-2.19

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
0.360.470.370.390.330.370.290.460.610.410.450.490.940.620.220.390.300.260.260.300.360.450.690.590.370.340.350.350.530.460.340.470.570.580.460.600.790.580.730.580.670.921.290.820.960.880.871.021.201.041.001.240.880.961.031.051.010.960.971.030.960.950.88
0.640.650.640.640.630.630.620.630.630.620.620.610.610.600.510.560.580.580.590.590.590.610.610.600.540.540.560.550.550.550.530.550.560.560.550.530.520.490.500.470.460.490.510.490.490.500.500.500.490.500.500.500.480.470.470.470.460.460.460.460.450.450.45
2.142.102.021.982.092.011.971.911.831.871.781.681.591.641.631.571.881.961.951.821.801.851.801.651.561.601.601.551.471.521.521.531.511.561.531.351.201.221.241.141.091.111.111.081.061.121.131.081.041.111.091.051.101.071.031.030.941.001.010.950.910.940.91
71.8663.2764.6351.2154.3958.4951.4743.3149.4752.3654.5250.5658.2155.4358.2455.3165.0564.4360.3461.5467.8061.6455.1857.2965.7263.2159.7659.1267.6861.7359.2460.6664.9862.1956.5753.0160.1354.9952.4452.0757.5355.1551.3853.0761.0256.1353.3251.5561.2956.5355.1555.3147.1246.9246.5649.7148.8849.9836.1744.8549.8144.5640.44
33.5721.6518.45-11.3417.1319.3518.219.8225.0417.2915.339.0027.3617.4011.845.1731.2819.8914.3117.6032.41-28.3510.50-5.0630.2822.5214.517.5434.4424.0817.6020.9226.9920.5513.35-35.4729.1120.5214.8918.1228.2220.6014.8212.5529.4522.4015.9611.3830.2620.1017.5918.3819.717.9113.4713.0920.9318.152.759.3021.256.207.75
33.5721.6518.45-11.3417.1319.3518.219.8225.0417.2915.339.0027.3617.4011.845.1731.2819.8914.3117.6032.41-28.3510.50-5.0630.2822.5214.517.5434.4424.0817.6020.9226.9920.5513.35-35.4729.1120.5214.8918.1228.2220.6014.8212.5529.4522.4015.9611.3830.2620.1017.5918.3819.717.9113.4713.0920.9318.152.759.3021.256.207.75
---------------------------------------------------------------
28.0812.488.65-18.167.4412.0812.885.0819.214.054.884.9024.2315.496.244.9029.1618.41-3.9812.5326.74-34.866.55-18.2124.7213.516.161.3828.8317.3511.2712.3721.4414.776.79-39.8424.1015.027.9211.0921.8714.186.863.8122.2914.886.903.9924.4711.329.8357.4213.442.267.60-45.8316.169.81-2.65-5.5118.750.576.22
23.059.8410.80-12.197.469.4910.112.7316.773.073.602.5820.4312.594.822.4425.7716.07-4.579.2423.70-22.995.35-16.0220.7110.844.72-16.3217.5610.376.927.3813.598.583.39-27.2214.628.984.315.4813.448.423.792.3713.657.963.352.8214.826.645.5932.197.950.984.29-28.439.645.64-2.20-4.5211.34-0.5223.21
0.050.050.040.040.050.050.060.060.080.060.050.050.070.050.050.050.060.050.050.050.060.050.050.050.060.050.050.050.060.060.050.050.060.050.050.060.070.060.060.060.070.060.060.060.070.060.060.060.070.060.060.070.100.080.070.070.090.080.070.070.090.080.07
1.331.561.482.052.772.444.114.895.693.162.883.303.473.072.452.422.451.831.791.701.801.702.302.041.931.731.842.041.992.072.031.811.951.731.952.342.472.212.392.612.762.552.612.252.582.552.532.622.482.372.392.875.474.294.003.654.843.894.844.174.894.574.84
2.792.112.891.972.493.073.552.793.552.843.182.953.172.852.892.513.083.223.273.343.243.153.013.073.052.912.922.893.213.052.862.773.433.173.102.523.022.702.512.602.742.492.562.142.352.481.361.331.481.351.361.372.161.631.541.492.331.661.241.222.251.942.01
32.2742.6331.1045.7536.0829.2825.3832.2525.3431.7228.2830.4728.3931.5631.0935.7929.2127.9527.4926.9327.7628.5729.8929.3629.4930.9530.8331.1028.0329.4631.4232.4826.2328.3829.0735.6729.8433.3235.8134.5832.9036.1635.1942.1538.2536.2766.2567.4560.8866.4965.9565.7141.6255.2558.4960.3638.6254.1072.3873.6539.9646.4344.81
5.442.122.09-1.911.882.142.660.905.620.870.890.685.352.691.020.566.853.50-0.682.076.15-4.321.24-2.944.992.371.07-2.874.272.301.511.633.331.780.82-5.063.531.971.001.233.311.870.930.653.371.840.830.743.621.491.236.972.860.471.23-6.462.991.52-0.30-0.703.260.190.93
6.092.382.36-2.142.132.413.021.026.371.001.010.786.083.071.160.648.014.13-0.802.447.27-5.131.46-3.475.832.791.27-3.385.002.701.781.923.932.100.97-5.984.132.301.171.453.882.201.090.773.982.180.990.884.281.781.478.303.400.551.44-7.563.461.76-0.35-0.813.760.221.07
1.260.490.49-0.450.430.510.640.221.400.210.220.181.430.710.270.151.620.81-0.150.491.48-1.030.30-0.751.340.630.28-0.761.170.630.410.440.910.490.22-1.451.070.600.300.381.040.590.290.211.080.580.260.231.180.480.392.220.890.140.38-2.010.980.49-0.10-0.231.110.070.31
1.940.740.74-0.690.690.791.010.332.060.330.330.262.101.080.490.242.881.46-0.270.842.53-1.660.48-1.162.291.080.47-1.281.901.030.710.731.470.780.36-2.361.691.000.500.641.770.950.450.331.700.910.410.371.820.750.613.461.470.230.60-3.181.530.77-0.15-0.351.700.100.48
27.9327.3126.7926.7226.7727.0926.5226.2926.4125.6025.4126.0325.7825.1324.4624.7023.1522.2021.3322.0121.9321.1722.0822.1523.2022.6022.1022.2623.1622.6922.1822.0522.2221.9721.6321.8223.1922.9222.5822.6822.7222.4022.0122.1222.0321.6121.2821.3521.6621.2521.0220.9419.4620.0820.0520.0021.5521.2321.1521.3521.8621.5621.68
3.861.871.036.384.792.811.536.584.962.531.356.364.742.031.006.054.602.081.174.444.392.151.315.353.961.670.996.535.192.501.645.104.011.521.134.834.191.370.835.174.071.540.954.813.871.99-0.023.502.550.510.173.262.160.920.643.142.360.83-0.140.960.92-0.38-0.17
-6.11-4.52-2.14-5.70-4.21-3.09-1.21-4.01-3.20-2.99-1.08-4.50-1.02-1.86-1.00-2.41-1.59-2.23-0.580.17-1.17-1.52-0.47-0.91-0.61-1.40-0.480.290.78-0.380.21-2.39-2.27-3.20-2.35-2.14-0.95-1.54-0.42-0.570.41-0.46-0.090.480.960.08-0.93-0.34-0.12-1.44-0.88-0.39-0.41-0.74-0.050.060.38-0.65-0.88-2.19-1.25-1.82-1.05