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Toll Brothers Financial Ratios for Analysis 2009-2025 | TOL
Prices
Financials
Revenue & Profit
Assets & Liabilities
Margins
Price Ratios
Other Ratios
Other Metrics
Income Statement
Balance Sheet
Cash Flow Statement
Key Financial Ratios
Format: Annual
Format: Quarterly
Format: Annual
View Annual Reports
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Annual Data
2024-10-31
2023-10-31
2022-10-31
2021-10-31
2020-10-31
2019-10-31
2018-10-31
2017-10-31
2016-10-31
2015-10-31
Current Ratio
4.9189
4.7776
4.7975
5.1514
5.8177
7.0555
6.8278
6.6087
6.0702
9.1595
Long-term Debt / Capital
0.2693
0.2957
0.356
0.4002
0.4455
0.4338
0.4368
0.4151
0.4713
0.4727
Debt/Equity Ratio
0.3685
0.4198
0.5529
0.6672
0.8033
0.7661
0.7755
0.7097
0.8914
0.8964
Gross Margin
27.8653
26.3554
24.197
22.1026
20.0307
21.5954
22.489
21.5433
19.8364
21.6237
Operating Margin
18.8092
17.2563
14.6817
11.6136
7.7746
9.4242
11.0064
11.1294
9.5236
10.7131
EBIT Margin
18.8092
17.2563
14.6817
11.6136
7.7746
9.4242
11.0064
11.1294
9.5236
10.7131
EBITDA Margin
19.5578
18.0214
15.4293
12.481
8.7477
10.4229
11.36
11.5656
9.9709
11.2779
Pre-Tax Profit Margin
19.2283
18.433
16.5804
12.5173
8.2923
10.8967
13.0741
14.0035
11.3943
12.8394
Net Profit Margin
14.4854
13.7277
12.52
9.4834
6.3103
8.1674
10.4735
9.2088
7.3913
8.7064
Asset Turnover
0.8114
0.7979
0.8362
0.7619
0.6396
0.6671
0.6973
0.6157
0.5309
0.4531
Inventory Turnover Ratio
0.8056
0.8127
0.8919
0.865
0.739
0.7194
0.7287
0.6266
0.5635
0.4672
Receiveable Turnover
18.3653
14.4591
13.7516
11.9098
7.2223
9.8121
12.9694
10.6757
8.8708
12.4196
Days Sales In Receivables
19.8745
25.2436
26.5424
30.647
50.5377
37.1991
28.1432
34.1897
41.1464
29.389
ROE - Return On Equity
20.4404
20.1384
21.3639
15.6097
9.064
11.5265
15.6881
11.8026
9.0219
8.5894
Return On Tangible Equity
20.4404
20.1384
21.3639
15.6097
9.064
11.5265
15.6881
11.8026
9.0219
8.5894
ROA - Return On Assets
11.7535
10.9529
10.469
7.2252
4.0361
5.4488
7.3029
5.6695
3.9242
3.9447
ROI - Return On Investment
14.9358
14.1836
13.7575
9.3629
5.0263
6.5266
8.836
6.9033
4.7698
4.5292
Book Value Per Share
77.0305
65.6435
54.9313
44.4605
38.9441
36.3188
32.6274
28.861
26.1783
24.1816
Operating Cash Flow Per Share
-1.7594
3.0439
-1.9935
2.677
4.6937
-0.8272
-1.2696
4.2268
0.5316
-1.3592
Free Cash Flow Per Share
-2.0293
2.9893
-2.4692
3.5005
4.0279
-0.6941
-1.2823
4.2179
0.4212
-1.3292
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