TEGNA Financial Ratios for Analysis 2011-2026 | TGNA

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

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
2.282.922.483.332.101.591.961.721.961.281.331.161.911.151.19
-0.510.530.500.560.630.720.690.750.610.630.560.560.360.41
-1.021.141.001.281.732.632.203.021.581.701.291.280.560.70
36.1843.3940.9548.3746.5548.8346.5951.7150.9460.3158.7463.6458.6645.0143.49
16.3325.3025.2030.2126.8229.6524.3131.6428.6935.3435.7126.9419.3914.7515.85
-25.3025.2030.2126.8229.6524.3131.6428.6935.3435.7126.9419.3914.7515.85
-29.1629.3334.1131.3734.9229.6436.0835.8645.5450.5737.0631.2218.3819.62
-24.9220.8425.4220.5221.6916.3423.0516.3322.4219.5937.726.9812.5212.46
8.1119.3416.3819.2315.9516.4312.4518.3814.3821.7926.0440.4524.257.938.75
-0.420.420.450.430.430.330.420.380.230.210.230.170.840.79
------------13.2752.2160.28
-5.044.594.884.555.203.824.944.334.933.074.431.867.667.38
-72.4979.4674.7880.2770.1795.4673.8184.2674.0811982.3519647.6649.49
6.9519.9417.6120.5518.9823.4618.0029.9345.0212.119.3521.673.4118.7019.91
--25.81-18.28-27.55-16.47-14.14-7.30-14.43-15.68-23.40-5.07-20.99-4.16-58.87-58.49
3.198.186.808.616.917.054.127.619.033.622.706.731.077.457.56
-9.858.2410.288.318.604.969.3711.194.693.479.481.5011.9611.71
-18.7915.0313.7511.389.387.316.214.6311.9011.1815.3912.7211.0410.60
-4.052.823.622.253.661.362.431.793.092.833.652.183.203.35
-3.742.563.391.913.460.962.131.442.662.323.011.712.813.06

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
2.282.221.471.402.922.602.582.532.483.473.443.703.332.712.392.022.102.162.201.781.591.912.252.001.961.731.941.611.721.471.931.861.961.372.491.241.281.391.521.291.331.481.531.301.162.181.461.551.911.841.131.171.151.131.141.061.191.211.19
-0.450.450.450.510.520.520.520.530.510.510.490.500.520.530.540.560.580.600.620.630.680.710.710.720.730.670.670.690.710.740.760.750.810.790.610.610.630.640.630.630.650.550.550.560.560.530.540.560.420.340.360.360.380.390.400.410.420.44
-0.811.001.011.021.071.101.101.141.041.060.971.001.071.121.171.281.381.531.641.732.172.452.462.632.752.002.062.202.482.803.083.024.703.831.541.581.701.751.731.701.881.231.231.291.291.121.181.280.730.510.560.560.610.650.660.700.720.77
37.0035.1437.3535.1547.6645.7339.1839.7241.7038.5541.1542.3352.8346.6046.4646.8547.4347.1645.8245.7157.4048.6538.4846.0148.8244.4746.8745.5657.6449.6949.5748.5251.6349.2853.0749.5933.3461.4158.7168.3471.1270.3968.2969.0369.7359.3546.8845.3447.1943.0644.2041.8548.6444.9444.8540.7343.6542.9844.59
16.9114.1618.1316.0331.6428.4919.9719.2619.8018.8838.5023.4435.7928.9228.1627.0227.0327.9425.3126.9541.9930.8413.0025.5125.4719.3626.6025.6739.4128.6329.4127.2931.7925.1730.6726.8270.5235.7733.4926.0240.5928.7924.5424.9527.0027.0216.6114.5315.6113.7015.5712.2014.5116.5916.5711.1315.3015.6518.11
-14.1618.1316.0331.6428.4919.9719.2619.8018.8838.5023.4435.7928.9228.1627.0227.0327.9425.3126.9541.9930.8413.0025.5125.4719.3626.6025.6739.4128.6329.4127.2931.7925.1730.6726.8270.5235.7733.4926.0240.5928.7924.5424.9527.0027.0216.6114.5315.6113.7015.5712.2014.5116.5916.5711.1315.3015.6518.11
-----------------------------------------------------------
-8.2913.0610.8026.1123.7914.5335.0714.1017.3933.4018.3531.4723.6622.4223.1320.8921.8918.8120.4235.1223.604.5315.6917.399.6819.5218.7232.1219.7822.9515.0522.6713.4014.9513.9741.8922.1719.7118.6131.4219.4111.6118.4670.4014.9622.738.7010.729.9112.779.8512.7714.3114.298.4110.8612.3715.64
7.955.7010.068.6320.7518.2811.5626.5410.4913.4927.3614.0923.8418.1916.7617.3416.7116.9614.5515.4926.0617.913.4512.6112.108.7614.8914.3225.0418.0317.6510.9961.929.21-26.6412.5758.9622.8420.8510.9319.3711.6515.3115.4357.4117.4014.284.216.636.378.728.456.7910.169.175.608.437.8811.35
-0.100.090.090.120.110.100.100.100.100.100.100.130.110.110.110.110.110.110.110.140.110.080.100.100.080.100.100.120.100.100.100.100.090.090.050.030.060.060.090.090.090.070.070.070.070.160.160.150.180.210.200.240.200.200.190.210.190.20
------------------------------------------6.315.43-5.3114.0912.4514.4613.7313.8312.1013.8311.5411.5611.7315.9210.449.87
-1.091.131.131.411.311.151.161.151.161.211.141.371.341.261.181.181.231.221.161.661.431.161.231.151.001.141.091.441.221.171.131.121.151.240.770.560.850.801.341.401.230.850.811.420.851.831.731.591.932.021.902.172.002.031.931.951.982.06
-82.8879.6979.6463.6968.6778.0577.5678.5877.6774.3178.8265.9367.1271.5176.2176.4273.3173.6677.4454.2263.0377.9273.3578.0089.7579.1182.4862.5673.4876.6579.9980.6378.1672.8611716210611366.9264.2773.2910611163.3310649.3151.9856.7546.6244.5147.2841.4344.9944.2746.7546.0745.4243.68
1.781.192.201.926.015.132.936.762.813.256.893.307.125.084.815.135.155.324.735.2711.897.351.175.205.283.185.405.2611.997.708.285.3230.487.195.641.732.433.072.754.256.984.661.492.3814.402.277.322.383.633.574.744.514.535.585.273.004.964.176.31
--1.70-3.07-2.56-7.78-5.97-3.22-7.37-2.92-4.07-8.22-4.73-9.55-5.85-4.98-4.81-4.47-4.26-3.34-3.39-7.17-3.60-0.51-2.24-2.14-1.20-2.86-2.64-5.78-3.17-3.06-1.78-10.61-1.61-1.65-1.00-4.69-1.66-1.48-2.26-3.79-2.37-1.32-2.03-13.94-3.23-10.33-3.00-4.43-16.00-18.85-15.50-14.25-19.08-16.98-8.98-14.58-16.25-21.73
0.820.550.930.802.462.041.162.661.091.342.811.412.992.051.891.961.881.861.561.653.571.900.281.251.210.701.481.393.051.791.801.076.110.970.870.530.730.880.791.222.021.250.490.764.470.732.470.771.141.412.041.871.802.262.101.171.881.712.51
-0.661.211.052.972.481.403.221.321.603.351.673.562.462.272.362.262.241.871.994.362.320.341.501.460.851.801.723.752.212.181.307.581.361.170.680.941.141.001.562.591.620.671.076.300.993.461.091.592.073.142.892.903.463.201.812.922.433.56
-19.3519.2318.9118.7917.6716.7916.3315.0315.0414.4214.0113.7512.8912.2911.7611.3810.9410.229.699.388.217.667.597.317.026.836.506.215.605.194.814.633.284.0611.9911.9011.6411.3611.1811.1810.7516.0215.5915.3914.0713.6712.9012.7211.9711.6811.2811.0411.5911.1210.7710.6011.2510.89
-1.340.980.374.052.631.330.562.822.031.410.763.622.671.740.882.251.540.880.263.662.341.430.811.360.980.540.222.431.540.710.241.791.611.120.643.092.091.040.572.892.211.400.753.672.471.530.712.201.490.950.153.202.121.340.673.352.481.70
-1.200.910.343.742.411.200.542.561.891.340.753.392.511.640.851.911.360.760.203.462.211.320.750.960.750.360.112.131.370.620.191.441.320.890.562.661.770.860.502.371.891.170.673.022.071.280.621.721.180.750.092.811.851.170.603.062.291.58