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TURTLE BEACH CORPORATION (TBCH) Quick Ratio

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Turtle Beach Corp Quick Ratio

The quick ratio is a stricter test of whether a company can pay the bills due within a year, counting only assets that are already cash or close to it. It is cash, marketable securities and receivables divided by current liabilities, shown as a multiple, with both amounts in the table. It is the current ratio with inventory and other assets that take longer to turn into cash removed, so it is never higher than the current ratio. A company that does not report one of the inputs has no point for that date rather than an estimated one. Quarterly points use quarter-end balances; annual points use fiscal-year-end balances.

  • Turtle Beach Corp quick ratio for the quarter ending 2026-06-30 was 1.09, a 71.10% increase year-over-year.
  • Turtle Beach Corp quick ratio for the quarter ending 2026-03-31 was 0.89, a 19.75% increase year-over-year.
  • Turtle Beach Corp quick ratio for the quarter ending 2025-12-31 was 1.07, a 24.63% increase year-over-year.
  • Turtle Beach Corp quick ratio for the quarter ending 2025-09-30 was 0.62, a 13.99% increase year-over-year.
  • Turtle Beach Corp quick ratio for fiscal 2025 was 1.07, a 24.63% increase from fiscal 2024.
  • Turtle Beach Corp quick ratio for fiscal 2024 was 0.86, a 33.89% decline from fiscal 2023.
  • Turtle Beach Corp quick ratio for fiscal 2023 was 1.3, a 52.56% increase from fiscal 2022.
  • Turtle Beach Corp quick ratio for fiscal 2022 was 0.85, a 9.73% decline from fiscal 2021.
Available history
2010-09-30 to 2026-06-30
Data captured

Historical Quick Ratio

DateQuick RatioQuick assetsCurrent liabilities
2026-06-301.09$57.51M$52.55M
2026-03-310.89$42.72M$47.81M
2025-12-311.07$93.76M$87.68M
2025-09-300.62$69.01M$111.55M
2025-06-300.64$48.13M$75.26M
2025-03-310.75$54.04M$72.43M
2024-12-310.86$106.11M$123.67M
2024-09-300.54$84.51M$155.71M
2024-06-300.57$58.94M$103.24M
2024-03-310.79$60.72M$76.79M
2023-12-311.3$73.12M$56.33M
2023-09-300.62$46.16M$74.47M
2023-06-300.65$36.04M$55.84M
2023-03-310.86$44.53M$51.91M
2022-12-310.85$54.73M$64.33M
2022-09-300.42$40.64M$97.46M
2022-06-300.29$19.43M$66.19M
2022-03-310.59$35.51M$60.28M
2021-12-310.94$73.67M$78.17M
2021-09-300.71$65.05M$91.54M
2021-06-301.04$84.22M$80.74M
2021-03-311.33$95.34M$71.77M
2020-12-311.15$90.55M$78.65M
2020-09-300.83$81.09M$98.13M
2020-06-300.86$58.21M$68.03M
2020-03-310.65$21.14M$32.59M
2019-12-310.82$52.78M$64.59M
2019-09-300.42$35.51M$84.54M
2019-06-300.42$21.85M$52.57M
2019-03-310.76$22.62M$29.65M
2018-12-310.81$59.88M$73.6M
2018-09-300.52$35.17M$67.92M
2018-06-300.98$43.69M$44.41M
2018-03-311.24$26.09M$21.06M
2017-12-310.83$55.78M$67.55M
2017-09-300.35$25.06M$71.71M
2017-06-300.35$11.23M$32.33M
2017-03-310.38$8.85M$23.55M
2016-12-310.9$59.88M$66.89M
2016-09-300.4$31.73M$79.69M
2016-06-300.54$21.36M$39.79M
2016-03-310.61$16.98M$27.97M
2015-12-310.93$64.31M$69.18M
2015-09-300.4$33.33M$84.22M
2015-06-300.38$18.71M$49.08M
2015-03-310.39$18.52M$47.83M
2014-12-310.78$68.97M$88.86M
2014-09-300.43$31.13M$72.86M
2014-06-300.49$24.12M$49.03M
2014-03-310.36$34.46M$94.85M
2013-12-310.5$55.05M$111.21M
2013-09-305.29$5.73M$1.08M
2013-06-302.89$2.21M$763,238.00
2013-03-314.85$2.27M$468,838.00
2012-12-3115.49$5.23M$337,829.00
2012-09-3017.77$5.57M$313,212.00
2012-06-3023.43$6.46M$275,530.00
2012-03-319$7.18M$797,836.00
2011-12-3121.4$15.94M$744,908.00
2011-09-301.22$491,764.00$403,340.00
2011-06-301.76$482,077.00$273,876.00
2010-09-300.72$439,385.00$611,705.00

Annual Quick Ratio

DateQuick RatioQuick assetsCurrent liabilities
2025-12-311.07$93.76M$87.68M
2024-12-310.86$106.11M$123.67M
2023-12-311.3$73.12M$56.33M
2022-12-310.85$54.73M$64.33M
2021-12-310.94$73.67M$78.17M
2020-12-311.15$90.55M$78.65M
2019-12-310.82$52.78M$64.59M
2018-12-310.81$59.88M$73.6M
2017-12-310.83$55.78M$67.55M
2016-12-310.91$60.82M$66.89M
2015-12-310.93$64.31M$69.18M
2014-12-310.78$68.97M$88.86M
2013-12-310.5$55.05M$111.21M
2013-09-301.64$1.78M$1.08M
2012-09-3017.77$5.57M$313,212.00
2011-09-301.22$491,764.00$403,340.00
2010-09-300.72$439,385.00$611,705.00

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