PTC Financial Ratios for Analysis 2011-2026 | PTC

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

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
202520242023202220212020201920182017201620152014201320122011
1.120.780.761.351.381.221.230.860.980.981.141.171.291.821.27
0.230.280.390.370.410.410.360.420.450.470.420.410.210.310.20
0.310.540.630.590.710.700.560.740.800.890.780.720.280.460.24
83.7680.6578.9780.0479.4677.0874.0973.7171.7871.4573.3372.4671.1670.3669.43
35.8625.5821.8623.1421.0714.465.025.853.59-3.253.3214.499.8410.2010.04
35.8625.5821.8623.1421.0714.465.025.853.59-3.253.3214.499.8410.2010.04
40.8131.7428.4029.4527.8522.6511.2212.8911.044.3410.0420.1815.7615.5015.38
33.5920.4015.8620.5421.689.241.622.31-0.12-5.892.1113.729.769.628.96
26.8016.3711.7116.1926.398.96-2.194.190.54-4.783.7911.8111.11-2.827.32
0.410.360.330.410.400.430.470.530.490.490.570.620.710.700.72
---------------
2.742.672.583.043.343.513.379.607.647.076.365.765.655.785.07
13313714112010910410838.0047.7651.6457.3663.4064.6563.1972.01
19.1811.719.1713.6423.409.09-2.285.940.70-6.465.5318.7615.52-4.4410.38
-149.26-32.87-15.13-71.10-89.58-30.7413.32-10.23-1.128.54-9.51-32.33-124.22-3,446.61-671.52
11.095.903.906.6810.583.86-1.032.230.26-2.322.157.287.86-1.985.24
14.688.475.638.5913.715.35-1.473.430.39-3.423.2211.1212.29-3.058.35
32.0126.7522.5319.5517.4012.3910.467.417.687.337.567.427.826.677.04
7.186.215.123.683.122.012.422.101.151.601.552.541.851.840.65
7.096.094.923.522.911.841.881.790.941.371.292.331.611.570.42

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
2025-12-312025-09-302025-06-302025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-30
1.221.120.890.990.690.780.700.761.190.760.680.731.431.351.231.241.291.381.231.181.311.221.271.131.171.231.251.321.480.860.880.941.030.980.940.980.920.981.051.201.141.141.001.071.181.171.301.341.691.291.301.291.401.821.261.251.371.271.27
-0.230.260.290.240.280.300.340.440.390.400.430.360.370.400.380.420.410.460.480.400.410.460.470.470.360.370.370.370.420.450.410.460.450.460.460.470.470.470.500.460.420.410.370.400.410.240.240.270.210.230.270.310.310.140.160.190.200.24
-0.310.350.410.480.540.600.680.810.630.670.760.560.590.660.610.740.710.860.910.660.700.851.280.900.560.580.590.590.740.830.690.840.800.850.840.890.890.900.980.860.780.750.620.710.720.320.320.380.280.320.370.450.460.160.190.240.240.31
82.8386.9282.9183.3080.2281.9978.4281.7580.0078.8178.6479.0679.4481.1977.9581.5379.2279.2578.1880.6379.7678.3677.4876.9175.4674.5072.0172.4976.8975.0074.0772.8172.9273.1471.7670.7871.3271.2571.4370.5972.4675.5773.8172.6071.4473.8672.9571.4671.3973.4671.0670.2969.6473.0070.1469.0469.1470.9769.02
32.2448.5132.5935.1220.4430.9618.4829.7721.5822.1620.2622.6022.5228.7517.2931.5113.5823.9516.8922.0221.0617.1418.0313.918.5413.903.15-7.878.983.696.857.215.656.023.862.681.59-11.482.630.64-4.57-6.917.131.2711.569.8516.1615.5816.8914.2113.726.774.3317.7110.002.2910.2115.108.41
-48.5132.5935.1220.4430.9618.4829.7721.5822.1620.2622.6022.5228.7517.2931.5113.5823.9516.8922.0221.0617.1418.0313.918.5413.903.15-7.878.983.696.857.215.656.023.862.681.59-11.482.630.64-4.57-6.917.131.2711.569.8516.1615.5816.8914.2113.726.774.3317.7110.002.2910.2115.108.41
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-47.9030.0832.2516.4827.1712.9924.1715.5616.2014.1114.9518.5527.0521.7920.5012.1035.2713.4218.7018.0414.1612.664.395.3410.08-0.16-11.516.100.213.173.752.111.780.24-0.38-2.27-15.05-0.24-1.31-6.72-8.385.920.1210.578.8315.4814.7616.3514.0414.736.173.7717.269.901.319.3814.046.26
24.2838.9121.9525.5614.5520.1913.3018.9812.078.3411.3211.7116.1121.0315.2417.7510.0760.9511.7523.665.4813.669.861.999.962.93-4.99-14.986.274.225.402.574.535.69-0.33-0.39-3.19-9.881.06-1.90-8.21-1.785.751.729.3110.5711.3013.3112.2116.3710.945.4311.20-25.827.361.196.9511.085.32
-0.140.100.100.090.100.080.100.090.090.090.090.100.110.100.120.100.110.100.110.120.120.100.090.110.130.110.110.120.130.140.130.130.130.130.120.130.120.120.110.130.140.140.150.150.170.170.170.170.190.180.180.180.180.190.180.200.210.17
-----------------------------------------------------------
-0.890.900.890.810.730.770.850.810.670.870.840.830.800.980.990.960.891.011.061.030.941.101.021.030.900.920.820.872.422.422.422.342.012.271.962.161.791.901.861.801.581.661.561.621.561.471.491.531.511.571.471.441.501.531.471.441.471.56
-10199.6110111112411710511113410410710911392.1190.8994.1210189.4484.6987.2395.5881.6988.2787.0410097.9010910437.2437.1937.1738.4744.7439.7245.8441.7650.3847.3048.4249.9256.8054.3857.7055.6957.8461.1260.5958.8859.7957.4061.1362.4060.1458.8261.1062.6261.0457.64
4.339.094.024.802.553.942.293.892.371.702.362.523.134.653.274.302.3614.372.976.621.573.712.610.562.840.82-1.21-3.491.591.512.040.851.561.97-0.11-0.13-1.12-3.380.36-0.61-2.86-0.652.100.633.544.543.914.454.096.094.052.064.34-10.532.650.422.614.571.94
--70.73-17.05-17.81-7.72-11.05-5.16-7.98-4.14-2.81-3.53-3.47-20.74-24.26-11.29-19.60-7.68-55.02-5.91-11.46-6.42-12.56-6.61-1.23-5.68-4.776.9424.98-18.28-2.60-3.02-1.60-2.58-3.140.160.191.444.47-0.490.794.211.11-3.19-1.25-6.52-7.82-22.86-26.23-65.25-48.79-21.15-8.55-16.13-8,177.4036.199.8486.22-295.74-31.22
2.595.262.272.641.351.981.131.841.060.730.991.011.562.281.532.051.046.501.222.610.681.581.030.191.080.37-0.56-1.600.760.570.750.340.600.74-0.04-0.05-0.42-1.210.13-0.21-1.08-0.250.810.261.421.761.942.232.083.091.960.951.99-4.691.420.221.372.310.92
-6.962.993.421.942.851.602.581.311.051.421.432.002.931.972.681.368.421.603.460.952.191.410.301.490.53-0.77-2.191.000.871.110.500.851.09-0.06-0.07-0.59-1.790.19-0.31-1.54-0.381.240.402.122.692.993.403.004.833.111.513.01-7.242.280.352.113.681.48
-32.0129.3328.2426.8726.7525.1124.5823.5022.5321.8921.2820.3219.5518.3817.8216.7217.4014.7114.1212.8112.3911.4511.0110.8010.4610.5610.5711.137.417.227.977.667.687.247.327.087.337.507.457.307.567.277.437.447.428.298.288.117.827.156.926.896.677.267.187.157.046.83
-7.186.344.301.976.215.403.631.565.124.703.291.523.683.362.381.163.122.731.990.972.011.720.820.062.421.981.370.182.101.581.160.221.150.890.25-0.421.601.470.960.541.551.660.910.122.542.111.220.301.851.500.800.111.831.631.100.300.660.65
-7.096.284.251.956.095.313.561.524.924.553.181.453.523.282.331.132.912.631.920.941.841.590.730.021.881.470.94-0.081.791.421.060.160.940.720.12-0.481.371.320.880.501.291.480.790.052.331.971.130.251.611.340.690.051.571.450.960.240.420.50