Amarin Financial Ratios for Analysis 2009-2025 | AMRN

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

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
2024202320222021202020192018201720162015201420132012201120102009
3.312.802.662.372.863.532.401.411.922.833.605.8411.3414.084.378.03
------0.232.871.122.271.681.161.02---
------0.53-1.88-12.86-1.91-2.65-7.71-58.54---
35.6053.9465.6879.2078.5977.6676.2075.1873.5865.9062.2154.79----
-40.15-22.02-28.681.80-3.20-5.65-47.22-25.15-50.45-120.14-177.03-691.08----
-40.15-22.02-28.681.80-3.20-5.65-47.22-25.15-50.45-120.14-177.03-691.08----
-38.84-21.06-27.842.29-2.77-5.07-45.97-23.48-43.86-109.05-164.66-620.78----
-33.77-17.49-28.121.94-2.81-5.23-50.76-30.27-58.72-144.69-109.22-642.94----
-35.95-19.26-28.661.33-2.93-5.27-50.80-37.47-66.38-182.32-103.99-630.82----
0.330.370.420.550.640.490.591.120.780.470.320.10----
0.890.550.550.520.701.250.941.491.681.471.490.56----
1.872.302.823.563.973.693.454.006.515.916.917.23----
19515913010291.8898.8910691.3356.0861.7352.8150.49----
-16.90-10.71-17.771.16-2.87-3.86-89.2475.8625875.8363.734914,4831,159123-463.94
-17.49-11.09-18.451.20-2.93-3.82-80.3992.6848484.1157.223731,1671,159123-463.94
-11.99-7.11-11.940.72-1.86-2.57-30.19-42.00-51.71-66.50-32.94-65.84-57.64-54.70-705.71-55.20
-16.90-10.71-17.771.16-2.87-3.72-58.68-195.43-113.47-114.41-43.22-77.58-77.911,159123-463.94
23.6227.0129.4533.6431.9733.789.35-4.80-0.67-13.91-10.13-3.92-0.53-0.88-37.881.34
-1.510.34-8.98-3.31-1.14-0.55-6.37-2.43-6.78-9.30-8.58-22.79-16.98-6.06-6.76-13.39
-1.510.34-8.98-3.31-1.15-0.69-6.38-2.43-6.78-9.31-8.58-22.79-17.06-6.12-6.76-13.45

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
2025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
3.533.313.233.043.072.802.692.612.802.662.391.992.572.372.642.692.862.862.722.922.633.533.692.012.202.401.331.431.741.411.631.741.991.922.151.502.322.832.823.374.463.604.474.696.195.848.395.215.7111.347.0414.7026.2214.0819.9235.1433.314.37----
----------------------0.010.130.200.232.752.111.212.871.791.561.351.120.853.992.862.271.981.701.391.681.461.301.311.161.081.661.341.021.000.962.08---------
------------------0.020.040.06-0.100.460.530.53-2.15-2.51-7.15-1.88-2.71-3.29-4.46-12.867.73-1.52-1.62-1.91-2.14-2.60-3.78-2.65-3.16-4.35-4.27-7.71-13.55-2.51-3.98-58.543,44223.95-1.93---------
59.81-15.3538.4863.3756.4560.4045.1553.2255.7570.4869.9446.2076.5078.8078.7379.1980.0879.2178.8778.7277.5478.6077.3677.4176.6177.3675.5275.6075.7675.0674.8374.8076.3373.7674.1873.2473.0068.5065.1963.9664.6864.5162.0860.1461.2859.4456.1848.2945.02-------------
-39.88-84.30-59.50-0.78-24.03-6.47-32.47-29.89-20.17-10.62-5.72-66.53-29.9111.17-9.205.68-0.944.28-4.433.07-15.503.83-4.02-2.49-31.03-41.09-40.22-61.37-49.86-13.28-17.84-25.20-53.57-33.24-46.64-43.47-90.45-69.92-120.16-151.00-169.77-122.57-176.30-200.22-233.16-325.39-480.47-887.16-2,565.19-------------
-39.88-84.30-59.50-0.78-24.03-6.47-32.47-29.89-20.17-10.62-5.72-66.53-29.9111.17-9.205.68-0.944.28-4.433.07-15.503.83-4.02-2.49-31.03-41.09-40.22-61.37-49.86-13.28-17.84-25.20-53.57-33.24-46.64-43.47-90.45-69.92-120.16-151.00-169.77-122.57-176.30-200.22-233.16-325.39-480.47-887.16-2,565.19-------------
--------------------------------------------------------------
-32.44-80.10-50.904.29-15.31-3.28-28.48-22.35-16.86-7.51-4.32-68.61-29.9611.35-9.135.74-0.704.54-4.063.26-14.785.05-3.08-1.81-33.34-43.42-44.23-64.98-54.86-17.48-22.86-30.14-60.46-39.16-51.28-43.44-117.68-88.00-145.26-181.00-198.32-144.29-180.94125-233.02-136.32-601.20-721.98-2,794.32-------------
-37.36-78.03-59.422.26-17.61-7.74-29.23-21.90-19.150.95-5.72-74.07-33.3510.17-9.265.05-1.142.95-4.343.26-13.264.93-3.08-1.81-33.34-43.54-44.23-64.98-54.86-41.71-22.86-30.14-60.46-70.95-48.18-40.33-116.55-82.20-150.45-354.96-200.80-119.28-184.11122-236.89-152.48-581.74-723.16-2,655.19-------------
0.060.090.060.080.070.090.080.090.100.100.100.100.100.140.140.150.140.170.160.150.170.160.130.260.200.200.260.260.200.330.280.270.200.230.170.220.170.150.120.090.070.100.080.060.050.040.030.030.01-------------
0.110.430.120.100.100.110.140.170.170.120.120.230.080.130.100.120.120.180.220.230.380.400.470.490.300.300.310.320.300.440.420.460.340.500.430.440.320.440.380.310.350.430.450.290.190.190.140.100.05-------------
0.390.510.380.550.490.560.540.650.650.690.730.660.860.880.950.850.941.081.061.080.981.231.091.060.921.160.751.051.121.191.371.211.181.941.871.881.701.931.911.781.862.102.121.982.722.772.262.430.68-------------
22917724016518416116713813913112413710510294.6410695.7683.1884.7183.1391.9173.1482.9385.1897.6277.4211986.0180.2975.7265.7774.5576.5246.4848.1347.9552.9246.7247.0850.5448.2742.8342.4145.4433.0332.4639.8537.10132-------------
-3.31-10.00-4.730.28-1.82-1.05-3.49-3.09-2.810.14-0.87-12.06-4.922.20-2.051.21-0.260.79-1.130.74-3.641.21-0.60-1.43-20.53-25.8032.7748.1558.7425.1115.3621.6039.4182.141727.0716.4914.4122.6527.9535.3722.2237.62-30.6645.1145.5227642.16103264-69,533.16-1,013.24137-307.58-317.60131-39.3992.81----
-3.43-10.35-4.890.29-1.89-1.09-3.62-3.20-2.920.15-0.91-12.54-5.112.28-2.131.26-0.270.80-1.140.75-3.601.19-0.59-1.28-18.29-23.2440.4762.7897.8630.6819.9028.8856.02154-252.597.7018.0015.9825.4231.1743.4019.9532.78-25.3838.1334.5817137.7587.2068.84-69,552.38-1,013.24137-307.58-317.60131-39.3992.81----
-2.39-7.09-3.350.19-1.26-0.70-2.30-2.04-1.910.10-0.57-7.19-3.241.38-1.270.75-0.160.51-0.710.48-2.220.80-0.40-0.47-6.56-8.73-11.64-16.76-11.17-13.90-6.50-8.01-11.95-16.44-8.13-9.05-19.49-12.64-16.82-16.15-14.45-11.49-14.057.44-11.80-6.10-16.64-18.53-22.91-3.40-10.36-19.88-33.8514.5173.17-149.1313.78-531.04----
-3.31-10.00-4.730.28-1.82-1.05-3.49-3.09-2.810.14-0.87-12.06-4.922.20-2.051.21-0.260.79-1.120.73-3.511.16-0.57-1.06-13.86-16.97-80.88-81.49-30.94-64.69-18.54-19.64-25.39-36.08-15.19-24.29-35.44-21.74-27.16-24.15-19.76-15.07-17.449.16-13.80-7.19-22.01-27.93-34.70-4.60-20.20-40.60-147.46-307.58-317.60131-39.3992.81----
22.8623.6225.8426.8526.5827.0127.0827.8928.7229.4529.1129.2032.3033.6432.2532.6632.1531.9731.2431.2432.3933.7833.339.008.529.35-3.47-3.18-1.13-4.80-3.41-2.86-2.13-0.671.13-17.82-16.93-13.91-12.12-9.97-6.99-10.13-7.93-5.78-6.66-3.92-2.05-12.52-7.98-0.530.010.72-9.44-0.88-4.47-23.24-7.36-37.88----
-0.60-1.51-0.86-0.75-0.610.340.370.01-0.35-8.98-8.98-8.21-4.97-3.31-1.93-1.68-0.95-1.140.850.290.23-0.55-0.02-1.34-2.32-6.37-4.22-2.33-0.69-2.43-2.27-1.80-1.03-6.78-5.02-3.66-2.71-9.30-6.64-4.24-1.44-8.58-6.70-3.74-3.15-22.79-18.48-14.32-7.59-16.98-10.53-5.57-2.61-6.06-3.57-3.05-1.16-6.56-4.86-3.23-1.570.00
-0.60-1.51-0.86-0.75-0.610.340.370.01-0.35-8.98-8.98-8.21-4.97-3.31-1.93-1.68-0.95-1.150.840.270.22-0.69-0.15-1.39-2.32-6.38-4.23-2.33-0.69-2.43-2.27-1.80-1.03-6.78-5.02-3.66-2.71-9.31-6.64-4.24-1.44-8.58-6.70-3.74-3.15-22.79-18.48-14.32-7.60-17.06-10.59-5.60-2.62-6.12-3.58-3.05-1.16-6.57-4.87-3.24-1.57-