Texas Roadhouse Financial Ratios for Analysis 2009-2024 | TXRH

Fifteen years of historical annual and quarterly financial ratios and margins for Texas Roadhouse (TXRH).

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
0.480.610.941.010.590.900.780.720.520.680.830.770.821.020.69
-0.050.090.450.37-0.060.060.040.080.080.090.110.090.19
-0.050.090.860.58-0.060.070.040.080.090.100.120.100.24
15.8716.2817.5111.8318.0018.0919.0519.3618.0818.3518.6319.1418.7919.2518.46
7.647.988.580.997.697.648.398.648.008.258.428.748.599.028.05
7.647.988.580.997.697.648.398.648.008.258.428.748.599.028.05
10.9511.3912.245.9111.8811.7612.6012.8011.8511.9912.0412.4412.4413.1212.49
7.748.008.460.807.767.678.398.637.988.218.318.598.408.797.73
6.586.727.081.306.336.445.935.815.365.505.655.635.775.805.04
1.661.591.381.031.391.671.671.691.751.681.621.601.501.431.42
10288.4290.4494.5511210711099.7894.7290.6196.8393.6483.9688.2496.00
26.4026.7221.4724.3727.7526.6829.0235.4739.7946.5056.0376.9696.6280.0076.54
13.8313.6617.0014.9813.1513.6812.5810.299.177.856.514.743.784.564.77
27.1027.0123.603.7019.4917.1016.1515.9014.9514.7914.1613.9113.4012.1511.66
31.8731.7926.814.2922.5419.6618.9018.9018.2218.4817.9418.0917.6716.0816.53
11.2310.9910.081.509.1511.1810.3410.229.819.659.589.338.978.647.45
27.1025.7621.592.0512.3517.1015.2214.8714.4113.6713.0412.6811.9211.019.41
17.3315.3415.4713.5613.4213.4111.9610.749.668.838.447.697.176.916.01
8.417.536.693.305.284.904.003.623.222.722.442.071.891.651.61
3.524.133.901.142.272.741.741.300.770.960.870.870.791.031.01

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
0.490.520.500.480.320.410.460.610.540.530.790.941.211.211.141.011.010.890.970.590.500.610.890.900.790.770.850.780.690.700.670.720.640.670.630.520.560.640.700.680.600.700.750.830.931.000.910.770.980.910.820.820.841.030.941.020.930.960.850.690.740.580.38
-------0.050.070.070.090.090.150.150.160.450.170.180.170.37----0.000.000.060.060.060.060.060.060.070.070.070.040.070.070.070.080.080.080.080.080.080.080.080.090.080.090.090.110.090.090.100.090.110.150.170.190.230.240.25
-------0.050.080.080.100.090.180.180.240.860.260.270.210.58----0.000.000.060.060.060.060.070.070.070.070.070.040.110.080.080.080.080.090.090.090.090.090.090.100.090.100.100.120.100.100.110.100.130.170.200.240.310.320.34
16.4818.6517.8315.7815.1016.1916.3915.0915.9417.1116.9816.4516.2618.3119.1513.9515.193.1812.8017.7417.4118.3018.5516.6016.9418.8419.8617.6218.4519.5220.5417.8218.8119.8820.8018.2717.3716.9419.6817.2117.4918.8719.8317.6317.9419.3219.6418.3018.6419.7519.8217.5618.7518.8719.9417.8218.6819.5820.8218.1817.9019.1018.60
8.0110.6510.087.196.588.158.606.827.588.399.137.247.109.9810.113.205.54-9.932.427.366.907.728.755.485.968.6210.336.878.429.578.646.367.999.7810.247.426.976.9710.566.697.488.7010.126.937.688.4610.617.138.999.769.056.588.578.4910.656.438.739.1411.606.517.638.879.06
8.0110.6510.087.196.588.158.606.827.588.399.137.247.109.9810.113.205.54-9.932.427.366.907.728.755.485.968.6210.336.878.429.578.646.367.999.7810.247.426.976.9710.566.697.488.7010.126.937.688.4610.617.138.999.769.056.588.578.4910.656.438.739.1411.606.517.638.879.06
---------------------------------------------------------------
8.1810.8010.207.236.648.268.776.917.598.409.127.077.069.909.902.985.30-10.172.337.406.897.848.885.556.008.6510.336.878.399.598.636.357.939.8210.257.396.976.9610.536.717.468.6610.036.837.578.3610.506.998.849.628.886.398.358.3410.486.228.538.9011.366.197.308.538.74
6.638.968.576.225.697.027.365.936.277.077.625.926.058.408.013.064.63-7.042.465.895.626.507.305.014.907.038.695.255.746.646.044.285.336.606.905.064.684.657.024.604.905.846.664.555.135.677.284.505.856.345.814.455.875.756.974.115.685.897.413.834.725.675.83
0.440.470.470.420.440.470.470.400.420.440.410.360.360.370.330.270.290.220.320.370.350.370.360.410.450.480.470.410.450.470.470.410.440.470.490.440.440.470.480.430.440.450.450.430.400.430.450.390.400.420.430.370.390.390.410.350.370.380.390.340.350.380.40
26.6926.4828.2925.5926.0325.7526.6722.5525.3826.6827.2923.6826.1928.6427.7124.5526.9119.9728.0029.4431.2431.4732.1126.8430.2330.0030.5527.5428.5229.5230.3424.7627.2428.2228.3623.7526.3026.8329.2423.4926.5027.2828.1425.9125.0625.4027.6923.1826.3725.8626.5221.2525.2125.5226.5521.8626.4626.9928.1223.2426.3924.9125.86
24.3219.5524.516.6422.9119.3528.286.7226.2722.5421.875.5516.6018.4921.216.4819.7215.7325.657.3019.1617.5019.916.5817.0819.5724.097.1321.6419.3327.038.6421.8524.1126.8610.0019.0822.8721.9111.8924.5323.0323.4514.8129.0629.1632.5518.8622.5622.8025.3924.1022.0922.6423.3519.4720.4220.5320.7018.4726.7327.0528.61
3.704.603.6713.563.934.653.1813.403.433.994.1216.225.424.874.2413.884.575.723.5112.324.705.144.5213.685.274.603.7412.634.164.663.3310.424.123.733.359.004.723.944.117.573.673.913.846.083.103.092.774.773.993.953.543.744.073.983.854.624.414.384.354.873.373.333.15
6.569.639.486.485.867.698.286.016.447.817.475.105.027.336.582.193.31-3.771.884.794.185.165.283.303.214.996.363.523.894.844.612.893.614.815.293.553.213.425.253.193.274.024.693.063.023.624.892.773.333.883.832.593.293.304.162.143.013.374.432.172.703.573.91
7.5311.1311.047.626.949.149.907.077.649.348.755.795.708.347.542.543.83-4.402.195.544.855.986.053.793.705.767.394.124.575.725.483.434.305.776.404.323.934.206.493.994.125.075.953.873.804.596.273.604.244.984.993.424.344.345.522.824.064.596.133.083.905.235.88
2.984.304.102.692.583.363.582.452.703.213.172.182.223.182.760.891.39-1.560.832.252.052.502.692.162.283.504.202.262.673.273.011.862.473.253.492.332.162.313.502.082.252.743.162.072.162.573.401.862.392.752.621.732.362.362.931.522.162.332.981.391.722.242.38
6.569.639.486.485.867.698.285.735.997.246.814.674.276.225.541.212.74-3.101.563.044.185.165.283.303.214.986.013.323.664.554.322.703.374.494.933.422.993.174.862.953.023.704.322.822.783.334.482.533.053.543.482.302.982.993.761.932.672.883.701.752.062.712.91
19.8319.1518.3017.3316.7616.4315.9815.3414.8314.2715.1215.4715.5015.2214.4813.5613.2212.7213.1413.4213.0712.9713.7613.4113.1612.8912.4211.9611.6811.4011.0210.7410.5410.309.959.669.489.319.148.838.688.598.438.448.388.207.977.697.867.657.387.177.137.106.926.916.706.506.296.015.865.705.45
7.715.633.638.415.834.292.817.535.884.402.716.694.974.232.543.302.090.890.315.283.462.611.544.903.132.301.494.002.631.801.323.622.251.610.923.221.861.340.822.721.671.160.642.441.380.960.552.071.270.830.541.891.120.770.441.651.020.660.311.610.950.650.29
4.173.452.513.522.322.091.854.133.462.832.033.903.073.072.021.140.44-0.26-0.332.271.391.380.962.741.591.371.001.740.990.770.821.300.660.630.430.770.090.340.340.960.410.410.320.870.390.470.340.870.390.240.210.790.410.770.271.030.590.420.211.010.500.340.10