TSCO

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NASDAQ / Sector: Consumer Cyclical / Sub-Sector: Specialty Retail / Stock Type: Cyclical
# of Employee: 23,000 / Fiscal Year End: 2016-12-31 / Stock Type: Mid Growth
USD / Exchange Rate: 1 at 2016-11-22 /

Tractor Supply Co is an operator of rural lifestyle retail stores in the United States. The Company is engaged in supplying the needs of recreational farmers and ranchers as well as tradesmen and small businesses.

Competitors

Competitors List | Key Matrix Details

AMZN | BABA | EBAY | ORLY | AZO | ULTA | BBY | GPC | AAP | QVCB | QVCA | MELI | BBBY | DKS | VIPS |

Finance Highlights

Key Ratio Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2006-12-25Annual-0.30%-0.10%-0.03.731.70%3.80%3.80%1.464.535
2007-12-25Annual12.60%2.60%0.43.531.50%3.60%3.60%1.148.549
2008-12-25Annual20.60%4.20%0.84.130.30%2.70%2.70%1.310.586
2009-12-25Annual19.30%4.40%1.05.032.30%3.60%3.60%1.473.502
2010-12-25Annual13.50%3.50%0.86.233.10%4.60%4.60%1.760.409
2011-12-25Annual8.70%2.10%0.66.833.20%5.30%5.30%1.719.422
2012-12-25Annual22.00%4.80%1.57.033.60%5.90%5.90%1.503.496
2013-12-25Annual9.30%2.20%0.88.834.00%6.40%6.40%1.899.440
2014-12-25Annual19.20%4.40%1.89.334.10%6.50%6.50%1.746.473
2015-12-25Annual13.80%3.10%1.410.234.40%6.60%6.60%1.425.452

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual-16.01%-6.45%2.74%9.49%0.62%5.40%5.40%-4.88%-0.52%
2007-12-25Annual4,300.00%2,700.00%4,154.55%-3.48%-0.63%-5.26%-5.26%-21.58%2.62%
2008-12-25Annual63.49%61.54%88.12%15.49%-3.81%-25.00%-25.00%14.11%6.74%
2009-12-25Annual-6.31%4.76%14.90%22.87%6.60%33.33%33.33%12.44%-14.33%
2010-12-25Annual-30.05%-20.45%-12.45%24.91%2.48%27.78%27.78%19.48%-18.53%
2011-12-25Annual-35.56%-40.00%-29.50%9.15%0.30%15.22%15.22%-2.33%3.18%
2012-12-25Annual152.87%128.57%160.34%3.28%1.20%11.32%11.32%-12.57%17.54%
2013-12-25Annual-57.73%-54.17%-47.39%24.90%1.19%8.47%8.47%26.35%-11.29%
2014-12-25Annual106.45%100.00%118.77%5.44%0.29%1.56%1.56%-8.06%7.50%
2015-12-25Annual-28.12%-29.55%-21.03%9.76%0.88%1.54%1.54%-18.38%-4.44%


Income Statement Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2006-12-25Annual2,369,612k1,618,249k2,688k91,008k91,008k163,978,37831.70%3.80%3.80%
2007-12-25Annual2,703,212k1,850,504k5,037k96,241k96,241k160,401,66731.50%3.60%3.60%
2008-12-25Annual3,007,949k2,095,688k2,133k81,930k81,930k149,856,k30.30%2.70%2.70%
2009-12-25Annual3,206,937k2,171,980k1,644k115,466k115,466k146,596,k32.30%3.60%3.60%
2010-12-25Annual3,638,336k2,434,671k1,284k167,972k167,972k149,372,k33.10%4.60%4.60%
2011-12-25Annual4,232,743k2,825,871k0.0222,740k222,740k147,842,k33.20%5.30%5.30%
2012-12-25Annual4,664,120k3,098,066k1,055k276,457k276,457k145,514,k33.60%5.90%5.90%
2013-12-25Annual5,164,784k3,411,175k0.0328,234k328,234k141,723,k34.00%6.40%6.40%
2014-12-25Annual5,711,715k3,761,300k0.0370,885k370,885k139,435,k34.10%6.50%6.50%
2015-12-25Annual6,226,507k4,083,333k0.0410,395k410,395k136,845,k34.40%6.60%6.60%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual10.67%10.19%0.00%16.18%16.18%-2.00%0.62%5.40%5.40%
2007-12-25Annual14.08%14.35%87.39%5.75%5.75%-2.18%-0.63%-5.26%-5.26%
2008-12-25Annual11.27%13.25%-57.65%-14.87%-14.87%-6.57%-3.81%-25.00%-25.00%
2009-12-25Annual6.62%3.64%-22.93%40.93%40.93%-2.18%6.60%33.33%33.33%
2010-12-25Annual13.45%12.09%-21.90%45.47%45.47%1.89%2.48%27.78%27.78%
2011-12-25Annual16.34%16.07%-100.00%32.61%32.61%-1.02%0.30%15.22%15.22%
2012-12-25Annual10.19%9.63%0.00%24.12%24.12%-1.57%1.20%11.32%11.32%
2013-12-25Annual10.73%10.11%-100.00%18.73%18.73%-2.61%1.19%8.47%8.47%
2014-12-25Annual10.59%10.26%0.00%12.99%12.99%-1.61%0.29%1.56%1.56%
2015-12-25Annual9.01%8.56%0.00%10.65%10.65%-1.86%0.88%1.54%1.54%


Balance Sheet Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2006-12-25Annual598,904k409,088k679,345k363,241k45,847k1.464.535
2007-12-25Annual565,337k492,634k691,924k379,856k112,778k1.148.549
2008-12-25Annual610,130k465,867k684,303k400,843k65,024k1.310.586
2009-12-25Annual733,203k497,642k834,329k418,580k79,062k1.473.502
2010-12-25Annual933,242k530,232k1,043,717k426,564k103,668k1.760.409
2011-12-25Annual1,008,290k586,542k1,090,249k460,625k125,917k1.719.422
2012-12-25Annual1,024,974k681,834k1,130,052k560,505k121,329k1.503.496
2013-12-25Annual1,246,894k656,497k1,209,248k532,141k124,356k1.899.440
2014-12-25Annual1,293,561k741,010k1,273,990k603,093k137,917k1.746.473
2015-12-25Annual1,393,294k977,532k1,485,431k671,284k306,248k1.425.452

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual7.83%8.93%4.96%5.10%16.77%-4.88%-0.52%
2007-12-25Annual-5.60%20.42%1.85%4.57%145.99%-21.58%2.62%
2008-12-25Annual7.92%-5.43%-1.10%5.52%-42.34%14.11%6.74%
2009-12-25Annual20.17%6.82%21.92%4.42%21.59%12.44%-14.33%
2010-12-25Annual27.28%6.55%25.10%1.91%31.12%19.48%-18.53%
2011-12-25Annual8.04%10.62%4.46%7.98%21.46%-2.33%3.18%
2012-12-25Annual1.65%16.25%3.65%21.68%-3.64%-12.57%17.54%
2013-12-25Annual21.65%-3.72%7.01%-5.06%2.49%26.35%-11.29%
2014-12-25Annual3.74%12.87%5.35%13.33%10.90%-8.06%7.50%
2015-12-25Annual7.71%31.92%16.60%11.31%122.05%-18.38%-4.44%


Cash Flow Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2006-12-25Annual87,143k-88,894k-1,751k-80,830k10,089k
2007-12-25Annual155,021k-83,547k71,474k-82,573k-85,141k
2008-12-25Annual217,449k-91,759k125,690k-88,435k-105,482k
2009-12-25Annual215,317k-73,974k141,343k-73,877k-5,578k
2010-12-25Annual222,608k-96,511k126,097k-112,111k-26,009k
2011-12-25Annual254,144k-166,156k87,988k-171,361k-163,157k
2012-12-25Annual378,302k-152,924k225,378k-139,075k-277,562k
2013-12-25Annual333,681k-218,200k115,481k-209,323k-120,245k
2014-12-25Annual409,178k-160,613k248,565k-160,282k-340,505k
2015-12-25Annual429,180k-236,496k192,684k-235,912k-180,589k

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual10.04%-19.00%2.12%-24.92%-120.37%
2007-12-25Annual77.89%6.02%4,181.90%-2.16%-943.90%
2008-12-25Annual40.27%-9.83%75.85%-7.10%-23.89%
2009-12-25Annual-0.98%19.38%12.45%16.46%94.71%
2010-12-25Annual3.39%-30.47%-10.79%-51.75%-366.28%
2011-12-25Annual14.17%-72.16%-30.22%-52.85%-527.31%
2012-12-25Annual48.85%7.96%156.15%18.84%-70.12%
2013-12-25Annual-11.80%-42.69%-48.76%-50.51%56.68%
2014-12-25Annual22.63%26.39%115.24%23.43%-183.18%
2015-12-25Annual4.89%-47.25%-22.48%-47.19%46.96%



Finance Detail

Income Statement Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2006-122007-122008-122009-122010-122011-122012-122013-122014-122015-12
1: Revenue2369612k2703212k3007949k3206937k3638336k4232743k4664120k5164784k5711715k6226507k
2: Cost of revenue1618249k1850504k2095688k2171980k2434671k2825871k3098066k3411175k3761300k4083333k
3: Gross profit751363k852708k912261k1034957k1203665k1406872k1566054k1753609k1950415k2143174k
4: Operating expenses603343k692667k776692k850324k937441k1054169k1129262k1238959k1360943k1492666k
5: Sales, General and administrative561051k641603k715961k784066k867644k973822k1040287k1138934k1246308k1369097k
6: Other operating expenses42292k51064k60731k66258k69797k80347k88975k100025k114635k123569k
7: Operating income148020k160041k135569k184633k266224k352703k436792k514650k589472k650508k
8: Interest Expense2688k5037k2133k1644k1284k01055k000
9: Other income (expense)00000-2087k0-557k-1885k-2891k
10: Income before income taxes145332k155004k133436k182989k264940k350616k435737k514093k587587k647617k
11: Provision for income taxes54324k58763k51506k67523k96968k127876k159280k185859k216702k237222k
12: Minority interest0000000000
13: Other income0000000000
14: Net income from continuing operations91008k96241k81930k115466k167972k222740k276457k328234k370885k410395k
15: Net income from discontinuing ops0000000000
16: Extraordinary items0000000000
17: Cumulative effect of accounting changes0000000000
18: Other0000000000
19: Net income91008k96241k81930k115466k167972k222740k276457k328234k370885k410395k
20: Preferred dividend0000000000
21: Net income available to common shareholders91008k96241k81930k115466k167972k222740k276457k328234k370885k410395k
22: Earnings per share0000000000
23: Basic0.56750.61250.5550.80251.1551.551.9452.352.693.03
24: Diluted0.5550.60.54750.78751.1251.5051.92.322.663
25: Weighted average shares outstanding0000000000
26: Basic160366520157128163147320k143960k145194k143554k142184k139415k137769k135582k
27: Diluted163978378160401667149856k146596k149372k147842k145514k141723k139435k136845k
28: EBITDA190312k211105k196300k250891k336021k433050k525767k614675k704107k774077k
29: Total operating expenses603343k692667k776692k850324k937441k1054169k1129262k1238959k1360943k1492666k


Balance Sheet Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2006-122007-122008-122009-122010-122011-122012-122013-122014-122015-12
1: Assets1007992k1057971k1075997k1230845k1463474k1594832k1706808k1903391k2034571k2370826k
2: Current assets679345k691924k684303k834329k1043717k1090249k1130052k1209248k1273990k1485431k
3: Cash37605k13700k37232k172851k273252k176965k138630k142743k51134k63813k
4: Cash and cash equivalents37605k13700k37232k172851k257339k176965k138630k142743k51134k63813k
5: Short-term investments000015913k00000
6: Receivables0000000003763k
7: Inventories593373k635988k603435k601249k736520k830819k908116k979308k1115450k1284375k
8: Deferred income taxes11360k277k1676k008867k23098k29838k40962k45970k
9: Prepaid expenses37007k41959k41960k42320k33945k51728k51808k57359k66444k87510k
10: Other current assets00017909k021870k8400k000
11: Non-current assets328647k366047k391694k396516k419757k504583k576756k694143k760581k885395k
12: Property, plant and equipment301604k332928k362033k370245k395789k480855k549998k664932k721m847576k
13: Land19495k23151k25410k27646k30350k36962k61522k73350k79571k86991k
14: Buildings and improvements0000000000
15: Fixtures and equipment192981k175941k273470k315667k351247k420461k459345k548243k608510k703403k
16: Other properties263467k351051k337696k362067k401189k479012k548310k647250k729265k853522k
17: Property and equipment, at cost475943k550143k636576k705380k782786k936435k1069177k1268843k1417346k1643916k
18: Accumulated Depreciation-174339k-217215k-274543k-335135k-386997k-455580k-519179k-603911k-696346k-796340k
19: Equity and other investments0000000000
20: Goodwill010258k10258k10258k10258k10258k10258k10258k10258k10258k
21: Intangible assets10288k000000000
22: Deferred income taxes10779k16692k13727k11091k5750k0092k8782k9224k
23: Prepaid pension costs0000000000
24: Other long-term assets5976k6169k5676k4922k7960k13470k16500k18861k20541k18337k
25: Liabilities and stockholders' equity1007992k1057971k1075997k1230845k1463474k1594832k1706808k1903391k2034571k2370826k
26: Liabilities409088k492634k465867k497642k530232k586542k681834k656497k741010k977532k
27: Current liabilities363241k379856k400843k418580k426564k460625k560505k532141k603093k671284k
28: Short-term debt1065k847k00000000
29: Capital leases00550k392k91k33k38k42k213k878k
30: Accounts payable238905k258346k286828k273208k247388k266409k320392k316487k370823k427249k
31: Deferred income taxes00008854k00000
32: Taxes payable0007605k8269k11874k43359k9424k12436k5449k
33: Accrued liabilities111721k115601k113465k137375k161962k182309k196716k206188k219621k237708k
34: Deferred revenues0000000000
35: Other current liabilities11550k5062k00000000
36: Non-current liabilities45847k112778k65024k79062k103668k125917k121329k124356k137917k306248k
37: Long-term debt055m0000000150m
38: Capital leases2808k2351k1797k1407k1316k1284k1242k1200k4957k16992k
39: Deferred taxes liabilities0000013827k1477k000
40: Accrued liabilities0000000000
41: Deferred revenues000070697k75731k0000
42: Pensions and other benefits0000000000
43: Minority interest0000000000
44: Other long-term liabilities43039k55427k63227k77655k31655k35075k118610k123156k132960k139256k
45: Stockholders' equity598904k565337k610130k733203k933242k1008290k1024974k1246894k1293561k1393294k
46: Preferred stock0000000000
47: Common stock322k326k000643k654k1331k1342k1352k
48: Other Equity0000000000
49: Additional paid-in capital129249k151317k168045k190938k235283k298426k361759k452668k510997k596131k
50: Retained earnings469355k563743k645673k761139k954704k1146594k1371733k1631483k1918307k2225601k
51: Treasury stock0-150049k-203915k-219204k-257376k-437373k-709172k-838588k-1137085k-1429790k
52: Accumulated other comprehensive income-22k0327k330k631k00000
53: Total assets1007992k1057971k1075997k1230845k1463474k1594832k1706808k1903391k2034571k2370826k
54: Total liabilities and stockholders' equity1007992k1057971k1075997k1230845k1463474k1594832k1706808k1903391k2034571k2370826k
55: Total cash37605k13700k37232k172851k273252k176965k138630k142743k51134k63813k
56: Total current assets679345k691924k684303k834329k1043717k1090249k1130052k1209248k1273990k1485431k
57: Property, plant and equipment, net301604k332928k362033k370245k395789k480855k549998k664932k721m847576k
58: Total non-current assets328647k366047k391694k396516k419757k504583k576756k694143k760581k885395k
59: Total current liabilities363241k379856k400843k418580k426564k460625k560505k532141k603093k671284k
60: Total non-current liabilities45847k112778k65024k79062k103668k125917k121329k124356k137917k306248k
61: Total liabilities409088k492634k465867k497642k530232k586542k681834k656497k741010k977532k
62: Total stockholders' equity598904k565337k610130k733203k933242k1008290k1024974k1246894k1293561k1393294k


Cash Flow Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2006-122007-122008-122009-122010-122011-122012-122013-122014-122015-12
1: Cash Flows From Operating Activities87143k155021k217449k215317k222608k254144k378302k333681k409178k429180k
2: Net income91008k96241k81930k115466k167972k222740k276457k328234k370885k410395k
3: Depreciation & amortization42292k51064k60731k66258k69797k80347k88975k100025k114635k123569k
4: Amortization of debt discount/premium and issuance costs0000000000
5: Investment/asset impairment charges0000000000
6: Investments losses (gains)0000000000
7: Deferred income taxes-3530k7047k1566k-13597k2690k1856k-26581k-8309k-19814k-5450k
8: (Gain) Loss from discontinued operations0000000000
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation0012257k12130k11771k15041k17641k13893k16173k19420k
12: Accounts receivable0000000000
13: Inventory-132622k-41137k32553k2186k-60054k-94299k-77297k-71192k-136142k-168925k
14: Prepaid expenses57k-4557k429k-409k-3201k-17783k-80k-5551k-9085k-21066k
15: Accounts payable0028482k-13620k-14247k19021k53983k-3905k54336k56426k
16: Accrued liabilities00-2136k23910k38542k19997k8828k12111k6848k16880k
17: Interest payable0000000000
18: Income taxes payable00-5928k7605k1004k3605k57321k9582k21862k0
19: Other working capital81880k35713k7990k15175k7272k2664k4815k2275k7941k24648k
20: Other non-cash items8058k10650k-425k213k1062k955k-25760k-43482k-18461k-26717k
21: Cash Flows From Investing Activities-80830k-82573k-88435k-73877k-112111k-171361k-139075k-209323k-160282k-235912k
22: Investments in property, plant, and equipment-88894k-83547k-91759k-73974k-96511k-166156k-152924k-218200k-160613k-236496k
23: Property, plant, and equipment reductions8810k974k3324k97k313k752k379k477k331k584k
24: Acquisitions, net0000000000
25: Purchases of investments0000-15913k00000
26: Sales/Maturities of investments0000015913k0000
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles0000000000
30: Sales of intangibles0000000000
31: Other investing charges-746k0000-21870k13470k8400k00
32: Cash Flows From Financing Activities10089k-85141k-105482k-5578k-26009k-163157k-277562k-120245k-340505k-180589k
33: Short-term borrowing0000000000
34: Long-term debt issued00853903k274033k000185m355m680m
35: Long-term debt repayment00-909754k-274581k-392k-90k-37k-185038k-355114k-530507k
36: Excess tax benefit from stock based compensation00000025836k43517k18850k27032k
37: Common stock issued10073k7434k3150k5979k23878k31460k26577k38318k28083k41689k
38: Preferred stock issued0000000000
39: Warrant issued0000000000
40: Redemption of preferred stock0000000000
41: Repurchases of treasury stock0-150049k-53866k-15289k-38172k-179997k-271799k-133558k-303263k-295702k
42: Cash dividends paid0000-20355k-30850k-51318k-68484k-84061k-103101k
43: Dividend payable0000000000
44: Other financing activities16k57474k1085k4280k9032k16320k-6821k000
45: Effect of exchange rate changes0000000000
46: Net change in cash16402k-12693k23532k135862k84488k-80374k-38335k4113k-91609k12679k
47: Cash at beginning of period21203k26393k13700k36989k172851k257339k176965k138630k142743k51134k
48: Cash at end of period37605k13700k37232k172851k257339k176965k138630k142743k51134k63813k
49: Free Cash Flow0000000000
50: Operating cash flow87143k155021k217449k215317k222608k254144k378302k333681k409178k429180k
51: Capital expenditure-88894k-83547k-91759k-73974k-96511k-166156k-152924k-218200k-160613k-236496k
52: Free cash flow-1751k71474k125690k141343k126097k87988k225378k115481k248565k192684k
53: Supplemental schedule of cash flow data0000000000
54: Cash paid for income taxes0055476k66888k82821k103630k128306k0213637k226968k
55: Cash paid for interest003890k838k305k614k1219k0906k2283k
56: Net cash provided by operating activities87143k155021k217449k215317k222608k254144k378302k333681k409178k429180k
57: Net cash used for investing activities-80830k-82573k-88435k-73877k-112111k-171361k-139075k-209323k-160282k-235912k
58: Net cash provided by (used for) financing activities10089k-85141k-105482k-5578k-26009k-163157k-277562k-120245k-340505k-180589k



Note