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Textron Financial Ratios for Analysis 2009-2025 | TXT
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
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Annual Data
2024-12-31
2023-12-31
2022-12-31
2021-12-31
2020-12-31
2019-12-31
2018-12-31
2017-12-31
2016-12-31
2015-12-31
Current Ratio
1.764
1.9198
2.1896
2.5657
2.5223
2.0601
2.1375
2.1937
2.0932
2.0105
Long-term Debt / Capital
0.3096
0.3348
0.3329
0.3556
0.3536
0.3706
0.4045
0.4084
0.3731
0.4028
Debt/Equity Ratio
0.4981
0.5545
0.5001
0.5528
0.6342
0.6905
0.7288
0.6928
0.6602
0.7272
Gross Margin
18.2601
20.8142
20.7475
16.839
13.3637
16.317
17.0198
16.6995
17.7763
18.2076
Operating Margin
6.24
7.6957
6.8615
6.9779
4.3945
7.865
7.8944
7.3038
8.2245
8.4929
EBIT Margin
6.24
7.6957
6.8615
6.9779
4.3945
7.865
7.8944
7.3038
8.2245
8.4929
EBITDA Margin
9.0279
10.5825
9.9464
10.1276
7.7504
10.9171
11.022
10.4522
11.481
11.9273
Pre-Tax Profit Margin
6.8822
7.9442
7.8949
7.0506
2.4204
6.9112
9.9055
5.367
6.3534
7.2339
Net Profit Margin
6.0137
6.731
6.6905
6.0249
2.6521
5.9795
8.7461
2.1623
6.9771
5.1926
Asset Turnover
0.8138
0.8118
0.7898
0.7823
0.7545
0.9076
0.9795
0.9256
0.8978
0.9126
Inventory Turnover Ratio
2.7512
2.7683
2.873
2.9691
2.8733
2.8031
3.0367
2.8499
2.5397
2.6494
Receiveable Turnover
14.4384
15.7638
15.0515
14.7757
14.8043
14.7991
13.6445
10.4167
12.9587
12.8204
Days Sales In Receivables
25.2799
23.1543
24.2501
24.7028
24.655
24.6636
26.7506
35.0398
28.1665
28.4702
ROE - Return On Equity
11.452
13.1959
12.1187
10.9611
5.2866
14.7699
23.5362
5.4188
15.1238
14.0612
Return On Tangible Equity
16.7819
19.6505
17.8468
16.0094
8.3785
24.1983
41.0894
9.3207
24.3571
23.7334
ROA - Return On Assets
4.8996
5.4699
5.2906
4.7198
2.0009
5.4268
8.567
1.9948
5.489
4.7457
ROI - Return On Investment
7.9061
8.7776
8.084
7.0632
3.417
9.2962
14.017
3.2059
9.4815
8.3975
Book Value Per Share
39.3661
36.2208
34.4956
31.4149
25.8171
24.2018
22.0374
21.5947
20.6215
18.1036
Operating Cash Flow Per Share
-0.9461
-0.6475
-0.1328
3.7006
-1.0034
-0.014
0.8886
0.0866
-0.5144
-0.3763
Free Cash Flow Per Share
-0.9346
-1.0062
-0.0349
3.2986
-0.8256
-0.0303
1.0608
0.1501
-0.6451
-0.3607