Trinseo PLC Quarterly Current Ratio in % from Q1 2015 to Q3 2024

Taxonomy & unit
ratio: %
Description
The current ratio is a liquidity ratio that measures a company's ability to cover its short-term obligations with its current assets.
Summary
Trinseo PLC quarterly Current Ratio history and growth rate from Q1 2015 to Q3 2024.
  • Trinseo PLC Current Ratio for the quarter ending September 30, 2024 was 160 %, a 17.3% decline year-over-year.
Current Ratio, Quarterly (%)
Current Ratio, YoY Quarterly Growth (%)
Period Value YoY Chg Change % Date
Q3 2024 160 -33.4 -17.3% Sep 30, 2024
Q2 2024 174 -27.1 -13.5% Jun 30, 2024
Q1 2024 180 -29.5 -14.1% Mar 31, 2024
Q4 2023 187 -26.6 -12.4% Dec 31, 2023
Q3 2023 193 -23.8 -11% Sep 30, 2023
Q2 2023 201 -11.1 -5.25% Jun 30, 2023
Q1 2023 209 -10.7 -4.85% Mar 31, 2023
Q4 2022 214 -29.5 -12.1% Dec 31, 2022
Q3 2022 217 -41.8 -16.2% Sep 30, 2022
Q2 2022 212 -78 -26.9% Jun 30, 2022
Q1 2022 220 -85.3 -27.9% Mar 31, 2022
Q4 2021 243 -53.1 -17.9% Dec 31, 2021
Q3 2021 259 -37.3 -12.6% Sep 30, 2021
Q2 2021 290 -3.69 -1.26% Jun 30, 2021
Q1 2021 305 +17.5 +6.07% Mar 31, 2021
Q4 2020 297 +12.7 +4.48% Dec 31, 2020
Q3 2020 296 +7.15 +2.48% Sep 30, 2020
Q2 2020 294 +5.29 +1.84% Jun 30, 2020
Q1 2020 288 -1.53 -0.53% Mar 31, 2020
Q4 2019 284 -3.4 -1.18% Dec 31, 2019
Q3 2019 289 +11.3 +4.09% Sep 30, 2019
Q2 2019 288 +17.4 +6.41% Jun 30, 2019
Q1 2019 289 +18.8 +6.94% Mar 31, 2019
Q4 2018 287 +16.3 +6.02% Dec 31, 2018
Q3 2018 278 +5.96 +2.2% Sep 30, 2018
Q2 2018 271 -6.38 -2.3% Jun 30, 2018
Q1 2018 271 -9.12 -3.26% Mar 31, 2018
Q4 2017 271 -12.8 -4.5% Dec 31, 2017
Q3 2017 272 -18.5 -6.37% Sep 30, 2017
Q2 2017 277 -7.96 -2.79% Jun 30, 2017
Q1 2017 280 +10.1 +3.76% Mar 31, 2017
Q4 2016 284 +25.9 +10.1% Dec 31, 2016
Q3 2016 290 +46.1 +18.9% Sep 30, 2016
Q2 2016 285 +48.2 +20.3% Jun 30, 2016
Q1 2016 270 +42.6 +18.7% Mar 31, 2016
Q4 2015 258 Dec 31, 2015
Q3 2015 244 Sep 30, 2015
Q2 2015 237 Jun 30, 2015
Q1 2015 227 Mar 31, 2015
* An asterisk sign (*) next to the value indicates that the value is likely invalid.