Travelzoo Financial Ratios for Analysis 2009-2024 | TZOO

Fifteen years of historical annual and quarterly financial ratios and margins for Travelzoo (TZOO).

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
0.900.750.740.851.031.241.261.491.391.841.441.981.963.173.26
---0.30-----------
---1.94----0.260.03-----
87.0685.8381.8480.2989.1088.9887.8887.8785.3687.4989.1789.5891.0593.5794.01
18.4310.70-2.09-26.2616.247.404.278.913.0811.620.6816.8610.1320.8514.59
18.4310.70-2.09-26.2616.247.404.278.913.0811.620.6816.8610.1320.8514.59
20.6713.800.81-21.9417.509.046.2111.135.3313.572.5118.5411.9622.9716.71
20.2614.114.29-25.4116.207.444.438.752.0811.680.6717.0710.3320.8214.57
14.649.401.45-25.043.964.193.315.808.768.52-3.8612.042.2411.675.52
1.531.050.630.521.922.562.332.131.811.641.491.552.171.712.04
---------------
6.214.533.459.848.608.548.677.646.987.7110.257.448.748.325.42
58.7480.6410637.1142.4342.7442.1047.7852.2847.3535.6049.0341.7443.8667.35
13575.56-21.62-591.2211333.1512.1733.2539.8536.46-21.0141.999.5528.6720.86
-289.21-116.43-4.9282.2811333.1512.1733.2539.8536.46-21.2842.979.7529.3521.86
21.689.940.92-10.9222.5310.733.4911.2212.4314.00-5.7318.604.8619.9313.91
13575.56-21.62-413.3111333.1512.1733.2539.8536.46-21.0141.999.5528.6720.86
0.650.56-0.350.170.951.181.051.341.472.432.092.822.182.791.87
0.71-1.84-0.624.140.930.430.160.620.28-0.111.052.310.951.450.31
0.70-1.88-0.624.200.890.380.100.560.20-0.360.682.140.801.380.19

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
0.800.870.940.900.780.880.860.750.670.720.740.740.820.910.830.850.800.680.611.030.951.061.111.241.301.361.441.261.331.441.511.491.591.461.491.391.592.322.201.841.971.841.541.441.562.172.121.982.262.121.921.961.752.021.573.173.563.533.183.262.292.312.47
-------------0.76-0.080.300.981.09------------------0.20--------------------------
-------------3.15-1.271.9477.72-17.824.53----------------0.260.25--0.03-----------------------
87.3288.0887.9987.2487.0686.3787.5485.5885.3487.7784.6579.0980.9386.7878.8777.6178.7969.4386.7087.9788.0389.9690.1789.3688.1989.2689.0487.1887.7887.8088.7287.8387.8188.3587.5174.4585.9485.8488.3986.9386.7488.1488.1288.4888.4089.2990.5589.0088.7590.7889.6989.5389.0892.1793.3992.1293.7194.2594.2093.7493.7993.8394.70
20.1318.9725.4321.1815.0915.4921.8119.261.7210.0710.40-27.53-1.6618.22-5.37-7.19-8.73-94.70-26.2711.5514.2315.6122.5310.312.823.8411.844.000.075.257.257.566.9911.539.23-16.442.556.337.62-2.935.0827.4817.416.73-48.3818.8619.0511.7711.8326.3416.7023.2623.8620.31-27.0823.5720.6021.1218.0914.829.6714.2619.73
20.1318.9725.4321.1815.0915.4921.8119.261.7210.0710.40-27.53-1.6618.22-5.37-7.19-8.73-94.70-26.2711.5514.2315.6122.5310.312.823.8411.844.000.075.257.257.566.9911.539.23-16.442.556.337.62-2.935.0827.4817.416.73-48.3818.8619.0511.7711.8326.3416.7023.2623.8620.31-27.0823.5720.6021.1218.0914.829.6714.2619.73
---------------------------------------------------------------
21.9119.8126.0623.0616.6217.7623.4318.987.0011.1718.11-26.4819.6521.80-6.53-1.76-8.99-97.26-26.3011.2014.3715.5022.6910.112.463.9512.364.230.425.327.285.777.9311.239.66-19.071.955.736.48-3.385.3527.6317.715.94-47.7819.1319.1312.0212.2226.3016.9623.8223.8620.42-26.9023.6720.8421.2817.5114.5111.0613.8219.00
15.8413.8519.2717.5811.4012.4317.0013.185.025.8112.78-24.0417.9915.80-11.505.82-9.80-88.38-32.51-2.371.284.9910.705.780.471.708.102.50-2.332.609.653.526.046.786.653.0426.262.291.86-3.224.9121.4811.543.33-51.1012.5813.2710.159.6918.459.5318.2915.3313.09-37.7613.3013.1811.558.6822.43-1.25-0.811.47
0.400.410.400.380.370.360.330.280.230.230.200.140.130.150.120.120.150.100.330.460.440.480.480.620.610.620.660.590.570.580.520.500.480.500.500.210.480.400.440.430.380.380.410.430.330.370.410.380.370.460.500.510.630.530.460.430.470.510.550.520.610.600.61
---------------------------------------------------------------
1.411.491.601.561.811.911.431.191.091.020.890.751.311.661.642.293.061.742.662.081.801.651.872.081.922.112.382.201.902.002.001.791.461.551.730.811.721.892.082.001.881.992.403.001.932.222.071.821.392.222.262.072.321.992.252.101.741.962.131.372.001.891.88
64.0360.5356.1557.8549.6947.2362.8075.4482.9088.4210112068.6554.3555.0439.2929.3751.8033.8843.3550.0254.6048.0843.3546.8242.6537.8540.9647.3045.0344.9250.2061.5758.0952.1111252.2147.5543.3644.8947.8445.2537.4930.0346.6840.6243.5749.3664.7240.5439.8943.4338.7145.1839.9642.8551.7845.9442.2465.6344.9447.5247.94
12951.7348.0636.6935.8124.0444.8127.9512973.24-161.6177.6015230258.107.83-1,443.481,828-219.4015.8320.6821.4931.6211.120.792.7514.825.16-4.744.214.535.576.639.138.34-8.9139.562.001.84-3.584.4720.3515.275.29-52.849.7411.658.677.2815.689.5318.5020.9713.03-42.748.258.708.577.144.775.716.848.74
-32.51-41.80-107.64-78.49-35.86-97.29-61.65-43.07-5.41-7.35-13.4917.65-22.31-21.739.27-1.096.3333.4633.6815.8320.6821.4931.6211.120.792.7514.825.16-4.744.214.535.576.639.138.34-8.9139.592.001.85-3.584.5020.5115.455.36-53.649.8611.858.877.3515.869.6918.8821.5813.34-44.058.458.958.867.435.006.117.349.43
6.445.677.725.884.314.505.563.681.161.342.56-3.292.442.38-1.460.14-1.09-8.13-7.943.154.795.478.123.600.291.055.371.48-1.331.381.591.882.442.992.94-2.7812.480.930.81-1.381.898.094.771.45-16.704.715.473.843.558.514.749.419.656.95-17.455.746.145.924.733.183.354.065.40
12951.7348.0636.6935.8124.0444.8127.9512973.24-161.6177.6015272.7362.525.47-26.69-163.68-219.4015.8320.6821.4931.6211.120.792.7514.825.16-4.744.214.535.576.639.138.34-8.9131.582.001.84-3.584.4720.3515.275.29-52.849.7411.658.677.2815.689.5318.5020.9713.03-42.748.258.708.577.144.775.716.848.74
0.210.460.670.650.470.730.520.560.050.11-0.12-0.350.160.09-0.250.170.01-0.030.190.951.061.201.321.181.231.391.351.050.971.181.431.341.501.421.531.471.522.862.692.432.712.642.062.092.353.473.132.822.992.902.462.181.772.291.982.792.552.302.111.871.381.431.42
1.070.610.340.710.630.370.03-1.84-1.66-1.34-0.54-0.620.721.640.804.143.321.19-0.270.930.160.130.280.430.000.060.010.16-0.15-0.150.040.620.140.280.100.280.070.060.09-0.11-0.040.080.121.051.221.070.422.311.491.050.610.950.52-0.040.651.450.920.730.590.310.170.130.13
1.060.600.340.700.610.360.03-1.88-1.68-1.36-0.55-0.620.721.630.804.203.301.17-0.280.890.130.110.270.38-0.040.020.010.10-0.19-0.180.030.560.080.230.090.200.010.010.08-0.36-0.26-0.010.050.680.980.930.362.141.360.970.570.800.40-0.100.611.380.850.690.570.190.070.050.07