Textron Financial Ratios for Analysis 2009-2024 | TXT

Fifteen years of historical annual and quarterly financial ratios and margins for Textron (TXT).

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
1.922.192.572.522.062.142.192.092.012.022.372.112.733.524.64
0.330.330.360.350.370.400.410.370.400.480.420.540.610.670.76
0.550.500.550.630.690.730.690.660.730.910.731.331.612.013.27
16.6516.0816.8413.3616.3217.0216.7017.7818.2117.7016.3018.1317.4518.2419.35
7.706.866.984.397.877.897.308.228.497.907.008.616.856.556.61
7.706.866.984.397.877.897.308.228.497.907.008.616.856.556.61
10.589.9510.137.7510.9211.0210.4511.4811.9311.2010.2111.7310.4210.2810.50
7.947.897.052.426.919.915.376.357.236.155.576.872.990.82-1.42
6.736.696.022.655.988.752.166.985.194.324.114.812.150.82-0.30
0.810.790.780.750.910.980.930.900.910.950.940.940.830.690.55
2.913.042.972.872.803.042.852.542.652.913.423.693.883.783.73
15.7615.0514.7814.8014.8013.6410.4212.9612.8213.4112.3614.7613.1711.8011.75
23.1524.2524.7024.6624.6626.7535.0428.1728.4727.2229.5224.7327.7130.9331.08
13.2012.1210.965.2914.7723.545.4215.1214.0614.1611.3619.428.823.10-2.58
19.6517.8516.018.3824.2041.099.3224.3623.7326.9518.8043.2921.806.87-6.06
5.475.294.722.005.438.571.995.494.754.143.854.461.780.60-0.39
8.788.087.063.429.3014.023.219.488.407.436.589.023.441.03-0.61
36.2234.5031.4125.8224.2022.0421.5920.6218.1015.4415.5411.029.8410.7810.38
6.276.927.053.354.364.373.483.403.914.292.853.153.463.253.86
4.375.385.412.112.942.971.911.762.402.761.911.522.082.793.85

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
1.831.791.811.921.881.871.902.192.222.302.462.572.662.732.642.522.332.192.072.062.152.172.172.142.292.272.312.192.082.052.032.092.212.122.032.011.911.992.102.021.952.022.002.371.282.302.182.112.362.332.432.731.532.993.313.523.754.164.424.644.344.423.97
0.320.320.310.330.310.310.310.330.340.340.350.360.380.390.390.350.400.400.400.370.400.400.400.400.410.420.410.410.400.390.400.370.400.410.430.400.420.440.460.480.440.460.470.420.470.490.510.540.520.540.570.610.590.600.640.670.680.710.740.760.780.780.81
0.520.520.510.550.500.500.510.500.530.520.530.550.620.630.680.630.820.860.910.690.770.760.740.730.700.730.690.690.740.700.740.660.680.750.800.730.800.840.880.910.870.931.030.730.921.071.191.331.231.331.481.611.641.591.872.012.132.502.943.273.523.574.39
14.3616.6716.6216.5216.8716.8816.3015.2116.0516.2716.9617.1916.8616.6416.6414.8114.738.9414.0414.7215.7118.1617.1117.2016.0317.5317.2016.4817.2216.8716.2017.5918.1517.7217.6817.1318.7418.8518.3518.3617.0617.9717.2116.2014.8417.6516.5716.8117.5019.3419.0516.5617.8018.4417.1016.7317.8319.2319.6417.4219.6919.6420.86
6.138.366.548.097.818.446.225.977.417.426.807.387.396.806.297.045.30-0.734.577.347.899.117.249.976.447.607.287.527.817.526.217.978.218.668.068.599.218.727.399.508.117.336.047.476.417.226.807.508.7010.208.125.968.887.624.845.665.698.196.746.616.046.627.17
6.138.366.548.097.818.446.225.977.417.426.807.387.396.806.297.045.30-0.734.577.347.899.117.249.976.447.607.287.527.817.526.217.978.218.668.068.599.218.727.399.508.117.336.047.476.417.226.807.508.7010.208.125.968.887.624.845.665.698.196.746.616.046.627.17
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7.359.167.565.919.009.617.517.078.588.347.737.447.296.836.605.864.24-4.772.485.207.398.656.827.4119.636.986.615.555.835.973.917.693.297.416.727.497.927.425.997.016.735.994.396.364.995.745.015.956.978.456.20-0.926.614.951.861.44-2.783.650.50-2.31-0.20-4.591.62
6.517.346.415.098.057.686.326.227.316.886.436.236.195.735.946.444.20-3.721.804.936.756.725.766.5617.596.015.73-2.644.564.253.275.5912.955.044.695.765.535.144.175.184.644.112.994.763.413.984.174.405.035.704.13-0.585.053.301.171.92-1.943.03-0.36-2.240.16-2.223.40
0.210.210.190.230.200.210.180.220.190.200.190.210.200.210.190.240.170.160.170.270.220.220.210.260.220.260.220.260.220.230.200.250.210.230.210.270.210.220.210.280.230.230.190.270.230.230.230.260.230.230.220.240.180.180.160.200.150.160.120.150.130.130.12
0.670.670.610.830.660.690.640.870.680.710.680.790.680.730.650.890.550.530.540.850.620.610.640.810.670.780.670.810.640.640.550.710.560.630.590.780.560.590.590.850.700.720.600.990.770.730.801.030.870.880.891.130.890.870.841.140.770.880.721.020.750.700.60
3.864.163.514.483.753.593.264.253.683.603.753.963.873.883.264.663.143.243.194.383.203.262.943.663.123.322.972.952.592.922.583.592.853.072.653.752.742.792.713.962.982.922.503.582.842.822.994.063.283.293.053.803.043.122.723.512.762.792.303.152.753.112.96
23.3221.6125.6720.0724.0125.0527.6221.1624.4425.0023.9922.7023.2723.1827.6019.3228.6927.8228.2020.5428.1127.5830.6624.5828.8627.0830.3130.5434.7230.8734.8625.0431.5329.3333.9924.0232.8032.2433.1822.7430.1730.8136.0725.1331.7431.9230.0722.1927.4227.3429.5323.6829.6528.8333.0425.6732.6432.2339.0528.6032.7028.9130.43
3.213.792.902.853.813.742.733.183.333.212.793.043.063.022.854.042.00-1.660.903.614.044.073.424.7410.164.183.32-1.882.732.691.793.865.293.433.034.533.753.672.924.993.503.171.993.902.743.373.654.884.295.584.12-0.624.112.901.022.12-1.612.78-0.14-2.120.20-2.121.74
4.805.714.334.245.625.554.054.685.004.824.054.444.764.664.456.403.21-2.731.485.916.656.805.798.2716.897.105.69-3.234.594.583.086.218.475.805.257.656.596.535.389.496.275.643.656.465.146.677.6510.888.5411.759.40-1.538.146.042.204.70-3.536.24-0.33-4.980.48-5.075.51
1.361.581.221.181.631.601.171.391.411.371.211.311.211.201.111.530.73-0.590.311.331.461.471.241.723.841.541.26-0.691.000.970.641.401.971.181.001.531.181.130.871.461.090.960.581.320.790.920.921.121.091.320.90-0.120.890.620.210.41-0.300.47-0.02-0.320.03-0.310.21
2.192.581.991.892.632.581.872.122.182.101.831.961.891.851.742.611.20-1.010.552.272.432.422.042.825.992.421.97-1.111.631.641.082.423.202.021.742.712.192.061.562.621.961.711.052.261.451.721.782.272.072.571.77-0.241.671.170.360.71-0.510.81-0.04-0.500.05-0.470.32
37.4736.5436.2736.2236.0235.4834.7034.5032.3432.1132.0631.4127.3927.1926.5425.8225.0924.2524.3424.2023.8923.1922.4922.0422.8221.5422.2021.5922.0921.4320.8520.6220.9219.2518.5718.1017.1516.6515.8215.4416.5516.3615.6415.5412.7412.0511.4011.0211.7411.0510.409.8411.9111.4511.0410.7810.8710.6310.4010.3810.9310.8110.09
3.011.88-0.046.273.592.270.796.924.512.831.107.055.183.380.793.350.87-0.67-1.734.360.97-0.26-0.914.372.791.54-0.323.481.280.91-0.793.400.53-0.11-0.553.911.490.72-0.084.292.011.24-0.102.85-0.38-1.65-1.383.151.340.08-0.863.462.190.690.173.252.760.82-0.323.861.93-0.02-0.69
1.911.16-0.364.372.491.550.495.383.712.390.965.414.292.820.562.110.21-1.06-1.942.940.03-0.84-1.162.971.860.93-0.611.910.240.31-1.071.76-0.60-0.88-0.872.400.460.10-0.362.761.110.63-0.331.91-0.91-2.32-1.651.520.90-0.45-1.112.081.550.380.012.792.610.76-0.343.851.970.04-0.69