Alnylam Pharmaceuticals Financial Ratios for Analysis 2009-2024 | ALNY

Fifteen years of historical annual and quarterly financial ratios and margins for Alnylam Pharmaceuticals (ALNY).

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
202320222021202020192018201720162015201420132012201120102009
3.083.514.044.474.876.6912.235.1017.807.834.722.601.882.492.65
1.281.180.530.16-0.020.020.14-------
-4.63-6.431.150.19-0.020.020.16-------
83.0283.7383.4084.1688.6097.59100.00100.00100.00100.00100.00100.00100.00100.00100.00
-15.43-75.68-83.94-168.09-427.50-1,087.57-556.20-900.33-720.27-800.97-197.05-194.01-66.24-44.05-47.86
-15.43-75.68-83.94-168.09-427.50-1,087.57-556.20-900.33-720.27-800.97-197.05-194.01-66.24-44.05-47.86
-10.13-67.43-73.31-152.99-402.76-1,067.21-542.96-868.25-673.91-777.39-175.36-180.47-60.05-39.11-41.90
-23.71-108.63-100.93-173.60-402.85-1,015.48-545.95-869.63-705.83-792.32-194.88-174.73-69.66-42.98-46.76
-24.08-109.04-101.01-174.15-403.24-1,016.58-545.95-869.63-705.83-712.79-189.17-158.88-69.66-43.50-47.34
0.480.290.230.140.090.050.050.040.030.050.110.230.290.250.21
3.481.311.621.040.440.07---------
5.584.364.250.825.113.992.642.024.951.2711.1064256.377.0916.63
65.4483.7285.8544671.4491.4113818173.7028832.870.576.4751.5121.94
200715-144.99-84.46-61.59-58.49-27.79-44.57-22.94-38.49-33.00-79.08-48.86-27.50-26.74
200715-144.99-84.46-61.59-58.49-27.79-44.57-22.94-38.49-33.00-79.08-48.86-27.58-26.84
-11.49-31.90-23.41-25.19-37.00-48.36-24.61-32.48-20.92-33.38-21.22-36.87-20.45-11.07-9.89
-55.02-131.73-67.48-71.08-61.59-57.17-27.33-38.32-22.94-38.49-33.00-79.08-48.86-27.50-26.74
-1.75-1.284.898.7312.8212.8717.7210.7114.8612.134.242.552.763.744.25
0.83-4.45-5.42-5.35-2.55-5.59-4.23-3.59-2.25-2.23-1.12-2.30-2.05-2.01-1.73
0.34-5.04-6.06-5.96-3.83-6.85-5.38-4.35-2.41-2.35-1.18-2.47-2.08-2.12-1.85

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.753.013.173.083.143.203.773.513.483.764.274.044.384.914.994.475.325.624.684.875.386.289.336.6911.0513.2214.6112.239.838.846.235.109.1412.5815.8217.8018.2415.4513.517.8311.3112.388.044.723.634.044.832.604.314.213.131.881.922.232.522.492.462.682.772.652.262.724.02
0.971.001.271.281.191.671.341.181.070.790.630.530.360.340.170.16-----0.020.020.020.020.020.020.020.120.120.150.140.130.12-----------------------------
31.64-333.45-4.66-4.63-6.15-2.50-3.93-6.43-15.023.851.691.150.570.510.210.19-----0.020.020.020.020.020.020.020.140.130.180.160.150.14-----------------------------
82.8589.5986.6580.4788.7773.2282.8284.7084.4481.8583.2985.4382.5982.4382.5185.9282.6880.8386.6383.0192.5690.3389.9592.0893.38100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
-15.357.37-8.79-26.4728.50-72.10-46.92-56.30-97.63-85.26-68.80-75.26-96.83-66.27-104.89-118.75-178.94-191.28-211.27-415.83-308.73-528.40-567.03-1,047.67-12,303.43-643.17-673.11-388.42-735.84-756.18-561.77-661.36-781.45-1,061.55-1,498.00-1,225.16-1,238.62-839.88-281.72-190.32-411.95-616.93-3,251.53-272.81-358.51-245.33-52.59-1,040.01-108.28-57.78-52.91-66.42-59.82-63.64-75.02-58.56-31.55-43.68-46.03-30.31-39.80-91.10-31.85
-15.357.37-8.79-26.4728.50-72.10-46.92-56.30-97.63-85.26-68.80-75.26-96.83-66.27-104.89-118.75-178.94-191.28-211.27-415.83-308.73-528.40-567.03-1,047.67-12,303.43-643.17-673.11-388.42-735.84-756.18-561.77-661.36-781.45-1,061.55-1,498.00-1,225.16-1,238.62-839.88-281.72-190.32-411.95-616.93-3,251.53-272.81-358.51-245.33-52.59-1,040.01-108.28-57.78-52.91-66.42-59.82-63.64-75.02-58.56-31.55-43.68-46.03-30.31-39.80-91.10-31.85
---------------------------------------------------------------
-21.69-1.69-12.86-31.3120.08-86.03-53.98-61.79-153.59-122.18-112.24-100.68-108.85-85.39-112.23-148.93-200.59-171.12-182.60-385.85-298.21-488.71-544.30-1,003.57-11,833.59-546.63-645.13-375.03-719.10-743.28-565.88-647.04-762.37-1,034.90-1,401.96-1,201.44-1,214.30-821.55-276.25-181.02-400.31-608.49-3,248.50-270.45-355.42-242.35-51.36-856.50-116.37-62.04-55.22-69.92-63.67-67.06-77.93-30.69-33.73-55.83-50.09-30.91-40.25-88.59-28.83
-22.27-2.56-13.34-31.3519.69-86.59-54.53-61.93-153.58-123.39-112.70-99.97-109.00-85.95-112.80-148.90-201.26-172.40-183.18-385.30-297.65-490.86-546.39-1,005.28-11,855.10-546.90-644.84-375.03-719.10-743.28-565.88-647.04-762.37-1,034.90-1,401.96-1,201.44-1,214.30-826.52-273.92-89.05-400.92-604.17-3,032.54-298.30-330.17-209.15-48.35-732.05-116.37-62.04-55.22-69.92-63.67-67.06-77.93-32.70-34.81-54.97-50.17-29.26-37.97-92.28-31.48
0.120.160.130.110.200.090.090.090.070.070.060.070.050.060.050.050.040.030.040.030.030.020.020.010.000.020.010.020.010.010.020.010.010.010.010.010.000.010.010.020.010.010.010.030.020.020.040.030.050.070.060.070.070.060.060.050.070.060.050.060.050.050.05
1.130.820.700.960.880.850.420.400.360.460.450.440.330.460.420.310.330.260.190.220.100.110.100.070.01--------------------------------------
1.422.131.541.342.311.441.461.411.431.581.361.301.330.340.290.270.221.501.321.671.461.450.991.120.6210.100.431.121.171.030.970.750.900.920.830.910.780.921.830.6028.5781.9750.462.5514.7618.8833.4181.688.744.769.3913.9310.2615.7618.171.505.674.195.454.414.834.204.30
63.5842.2158.5167.0939.0362.3061.8563.9262.8356.9566.0669.1367.6626430933141459.8368.3754.0061.8061.8791.3780.271468.9120980.6977.0987.0292.3612099.8698.3210898.9011697.4449.071503.151.101.7835.256.104.772.691.1010.3018.909.586.468.775.714.9559.9615.8821.5016.5120.4318.6421.4320.94
-344.8455130.0762.49-89.0867.6367.16131600-157.58-59.91-43.94-27.06-22.21-21.63-23.96-20.85-12.80-13.50-19.20-12.98-12.49-11.76-16.24-16.59-10.09-8.05-8.05-11.61-10.55-12.91-12.27-10.25-8.20-8.66-7.17-5.81-5.10-3.39-2.28-4.86-4.68-26.28-11.97-9.98-5.90-2.89-46.39-11.01-6.88-5.76-12.12-10.35-10.12-11.19-4.38-5.99-8.84-7.17-4.38-5.06-12.31-3.97
-344.8455130.0762.49-89.0867.6367.16131600-157.58-59.91-43.94-27.06-22.21-21.63-23.96-20.85-12.80-13.50-19.20-12.98-12.49-11.76-16.24-16.59-10.09-8.05-8.05-11.61-10.55-12.91-12.27-10.25-8.20-8.66-7.17-5.81-5.10-3.39-2.28-4.86-4.68-26.28-11.97-9.98-5.90-2.89-46.39-11.02-6.89-5.77-12.12-10.38-10.15-11.22-4.39-6.01-8.87-7.20-4.39-5.08-12.35-3.98
-2.65-0.42-1.72-3.603.85-8.11-5.13-5.85-11.48-8.33-7.00-7.09-5.89-5.40-6.15-7.15-7.66-5.31-7.99-11.53-8.20-8.08-9.03-13.43-14.64-9.14-7.34-7.13-9.05-8.26-9.46-8.94-7.93-6.52-7.82-6.54-5.35-4.69-3.12-1.98-4.46-4.27-23.23-7.69-6.63-3.93-1.91-21.63-6.05-4.07-3.34-5.07-4.27-4.06-4.41-1.76-2.33-3.32-2.66-1.62-1.86-4.38-1.42
-10.57-1.66-8.22-17.2317.30-45.20-22.95-24.16-42.80-32.49-22.30-20.45-17.19-14.73-17.92-20.17-20.85-12.80-13.50-19.20-12.98-12.28-11.54-15.87-16.26-9.91-7.91-7.92-10.17-9.30-10.94-10.55-8.93-7.22-8.66-7.17-5.81-5.10-3.39-2.28-4.86-4.68-26.28-11.97-9.98-5.90-2.89-46.39-11.01-6.88-5.76-12.12-10.35-10.12-11.19-4.38-5.99-8.84-7.17-4.38-5.06-12.31-3.97
0.25-0.02-1.73-1.75-1.32-3.27-2.09-1.28-0.551.463.324.896.337.207.898.7310.4612.1011.9312.8214.4415.8114.5412.8714.6416.1217.4717.7211.4612.259.6510.7111.8312.8413.9114.8615.6016.6617.7712.1311.8012.3512.654.244.714.935.012.553.383.623.802.763.003.203.443.743.813.934.104.254.364.424.80
0.670.34-0.650.831.02-1.81-1.34-4.45-3.35-2.43-1.42-5.42-4.13-3.04-2.01-5.35-4.24-3.32-2.18-2.55-0.760.92-1.79-5.59-4.09-2.57-1.56-4.23-3.05-2.06-1.17-3.59-2.68-1.80-0.98-2.25-1.61-0.97-0.32-2.23-1.69-1.16-0.61-1.12-0.74-0.40-0.02-2.30-0.91-1.01-0.65-2.05-1.45-0.78-0.15-2.01-1.52-0.95-0.37-1.73-1.33-0.840.03
0.480.17-0.750.340.66-2.05-1.45-5.04-3.76-2.71-1.57-6.06-4.58-3.28-2.16-5.96-4.66-3.64-2.36-3.83-1.690.32-2.21-6.85-4.98-3.01-1.77-5.38-3.96-2.72-1.59-4.35-3.20-2.08-1.01-2.41-1.72-1.01-0.35-2.35-1.76-1.19-0.62-1.18-0.79-0.43-0.05-2.47-1.05-1.05-0.66-2.08-1.47-0.79-0.15-2.12-1.60-1.01-0.40-1.85-1.41-0.91-0.02