TJX Financial Ratios for Analysis 2012-2026 | TJX

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

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
20252024202320222021202020192018201720162015201420132012
1.181.211.211.271.461.241.531.661.631.541.671.721.521.68
0.250.280.310.360.480.270.310.300.330.270.280.230.170.20
0.340.390.530.561.040.380.440.430.490.380.380.300.210.25
30.6030.0027.6128.5023.6628.4628.5928.8928.9828.7928.5528.5128.4327.33
11.1810.699.739.791.8110.5910.7310.8411.5111.9712.4012.2212.0010.55
11.1810.699.739.791.8110.5910.7310.8411.5111.9712.4012.2212.0010.55
13.4712.7711.7511.974.7012.9613.1013.1413.4913.9614.7314.2213.9712.65
11.5011.019.289.060.2810.5610.7110.7511.2211.8212.2112.1011.8910.40
8.638.257.016.760.287.847.857.276.937.367.627.797.376.45
1.781.821.761.711.041.732.722.552.582.692.652.692.722.80
6.096.366.215.825.666.136.086.096.475.966.466.616.145.71
91.2092.2173.2276.7064.6196.29113110128130128131116114
4.003.964.994.765.653.793.243.332.852.812.842.803.143.22
57.9561.2754.9754.691.5455.0160.6150.6650.9552.8851.9550.5352.0146.62
58.6162.0855.8255.591.5755.9161.8051.6653.2655.3756.0254.5656.9249.39
15.3215.0412.3411.540.2913.5521.3618.5517.8419.8220.1620.9520.0518.07
43.2044.0237.9335.080.8139.9842.0235.3434.1138.4637.6238.8342.9437.46
7.506.445.515.084.844.964.154.103.493.253.113.002.532.15
5.365.233.472.513.753.323.252.342.732.162.141.792.041.24
3.683.742.231.653.292.322.351.521.961.511.491.141.390.72

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
2025-10-312025-07-312025-04-302025-01-312024-10-312024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-31
1.091.171.161.181.191.211.231.211.191.201.201.211.161.171.251.271.291.331.521.461.411.512.211.241.221.251.231.531.551.641.691.661.531.631.641.631.621.581.601.541.531.601.631.671.631.721.681.721.641.731.711.521.581.661.661.681.601.58
0.170.240.250.250.260.270.280.280.300.300.310.310.340.350.370.360.340.340.460.480.490.540.600.270.290.300.300.310.300.300.300.300.320.330.330.330.340.270.260.270.270.270.270.280.270.280.230.230.240.250.250.170.180.190.190.200.200.20
0.310.320.340.340.350.370.380.390.420.430.520.530.590.620.600.560.520.520.871.041.111.331.520.380.400.420.440.440.420.430.420.430.480.490.490.490.510.360.360.380.370.380.380.380.370.380.300.300.310.330.340.210.220.230.240.250.250.25
32.5930.7329.4830.4531.5830.3529.9729.7531.1030.1628.9326.1029.1227.6327.9127.1429.5029.3928.0727.9730.2022.39-0.1328.3828.8128.1728.4527.8028.9328.8928.8928.3929.8128.5428.9628.3229.5229.4228.7728.7228.9829.1228.3428.2429.3628.6427.9327.6429.3228.8028.3728.6028.7828.1028.1527.2128.0827.29
12.4911.2510.0411.3012.0410.5610.7410.9011.6710.109.949.0611.169.269.559.1211.1710.977.597.9310.56-0.52-29.9310.8910.7710.4710.1010.5810.6810.6711.0510.1911.7310.7910.8211.6511.5111.7511.0712.0112.3112.1811.3112.5113.1612.4111.4012.0812.7312.1311.9112.5611.7711.6411.9011.4411.6110.40
12.4911.2510.0411.3012.0410.5610.7410.9011.6710.109.949.0611.169.269.559.1211.1710.977.597.9310.56-0.52-29.9310.8910.7710.4710.1010.5810.6810.6711.0510.1911.7310.7910.8211.6511.5111.7511.0712.0112.3112.1811.3112.5113.1612.4111.4012.0812.7312.1311.9112.5611.7711.6411.9011.4411.6110.40
----------------------------------------------------------
12.6711.4410.2711.5512.3410.9011.1411.2311.9810.4010.259.2211.179.177.478.9711.008.737.154.6410.04-1.38-30.4610.8710.7410.4410.0910.5910.6510.6411.0010.1511.6410.6710.7011.5510.7311.6010.9411.8912.1412.0311.1412.4013.0212.0111.2511.9812.6011.9911.8212.4911.6711.4811.7511.3111.4610.23
9.548.637.908.559.228.168.578.558.987.757.567.158.746.845.156.798.166.515.292.978.57-3.21-20.138.077.937.767.557.567.767.938.258.007.326.626.897.166.637.136.747.447.577.466.917.818.087.487.007.468.927.447.327.837.207.087.237.087.026.37
0.430.440.410.520.430.440.420.550.440.440.410.510.430.440.410.490.420.420.330.360.320.250.170.510.430.430.410.780.650.660.620.780.630.650.610.730.640.680.640.780.650.660.610.760.640.630.620.770.650.650.630.810.700.690.680.810.680.68
1.091.351.301.771.151.451.411.931.101.351.301.841.041.211.181.691.331.681.421.821.411.380.891.791.191.381.311.751.261.481.411.871.301.551.481.861.331.441.381.731.241.391.391.851.311.461.461.901.351.441.431.831.381.421.431.661.121.18
20.8820.4320.5526.4619.6121.2420.6627.9119.0618.3318.6121.2917.0617.7318.1021.8917.8616.3814.7222.0015.5815.016.7428.1816.7117.5921.4932.1323.4126.2023.5933.5023.9725.8124.5436.5825.7626.0425.6437.6426.7626.7124.7836.6928.2328.5225.3837.1727.8329.1323.9934.6726.9129.4124.9032.8424.5525.07
4.314.414.383.404.594.244.363.224.724.914.834.235.275.084.974.115.045.496.124.095.786.0013.353.195.385.124.192.803.853.443.822.693.763.493.672.463.493.463.512.393.363.373.632.453.193.163.552.423.233.093.752.603.343.063.612.743.673.59
15.4114.0212.1816.6615.8714.1214.2619.2117.4314.9713.8716.3118.7615.0110.4915.6715.8712.268.705.5715.57-4.60-18.7316.5614.9414.3113.6416.6714.5014.1513.6117.0413.8112.1811.7815.0312.7012.6311.2115.4713.5012.8511.0615.2013.6012.1110.6113.7715.1012.4612.0416.5013.3212.4212.5814.8112.7711.22
15.5714.1712.3216.8516.0614.3014.4519.4717.6715.1914.0816.5619.0815.2810.6815.9216.1212.458.845.6715.84-4.69-19.1116.8315.2114.5813.9117.0014.7714.4213.8717.3814.4212.7312.3115.7113.3013.2111.7216.2014.6513.8511.9216.3914.6413.0611.4414.8716.3413.5613.1318.0614.0413.1213.3015.6913.5311.91
4.103.783.254.404.003.603.614.723.923.423.113.663.742.992.123.303.402.731.761.052.75-0.81-3.494.083.413.323.115.875.075.245.116.244.624.274.205.264.274.824.345.804.954.904.245.905.134.744.365.715.844.834.606.365.034.884.935.744.764.30
12.8410.599.1112.4211.7510.3210.3213.8012.2910.449.6011.2512.479.816.5610.0510.448.054.652.917.87-2.12-7.4412.0310.6510.079.5111.5610.189.929.5611.899.338.177.9110.068.399.278.2711.259.859.338.0411.019.928.788.1710.5811.549.368.9913.6210.8810.1110.1911.9010.248.95
8.437.977.627.507.276.906.636.445.995.775.585.514.904.654.775.085.405.335.094.844.643.893.964.964.614.394.234.154.264.214.214.103.673.573.543.493.323.393.433.253.253.173.153.113.173.083.063.002.902.692.612.532.382.302.252.152.112.04
3.301.940.355.362.992.070.645.232.811.800.643.470.900.01-0.532.511.600.78-0.353.753.520.16-2.643.321.530.730.123.251.971.230.572.341.500.850.342.731.600.890.332.161.220.680.322.141.300.770.341.791.130.560.192.041.390.870.471.240.540.21
1.981.09-0.093.681.761.210.283.741.711.090.332.23-0.04-0.58-0.801.651.010.41-0.543.293.17-0.09-2.812.320.720.26-0.142.351.280.780.361.520.860.460.151.961.020.510.131.510.740.380.181.490.800.470.201.140.600.220.031.390.870.580.300.720.12-0.07