Avinger Financial Ratios for Analysis 2012-2024 | AVGR

Fifteen years of historical annual and quarterly financial ratios and margins for Avinger (AVGR).

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
202320222021202020192018201720162015201420132012
0.631.175.483.741.301.520.231.006.822.125.267.10
--0.560.42----0.651.761.64-
-2.303.421.260.991.300.79-1.259.741.90-2.47-2.57-
26.1832.0833.8029.8831.4017.49-30.8824.8239.5341.9236.7151.51
-217.39-192.88-178.69-198.65-212.01-290.95-428.35-263.96-379.82-223.20-285.19-395.50
-217.39-192.88-178.69-198.65-212.01-290.95-428.35-263.96-379.82-223.20-285.19-395.50
-212.53-189.51-171.06-186.50-200.39-273.29-411.29-254.97-365.83-208.37-272.59-386.48
-239.41-213.02-171.89-216.94-213.01-348.17-490.56-292.12-441.93-284.94-307.70-395.50
-239.41-329.31-213.10-261.07-252.22-450.94-490.56-292.12-464.18-285.06-307.78-395.61
0.560.340.340.260.380.330.660.360.200.460.520.28
1.071.131.461.581.601.913.031.711.201.631.731.18
7.557.837.275.906.266.868.815.385.205.427.976.97
48.3746.6350.1961.8358.2853.2241.4167.8270.1967.3245.8152.36
295-425.06-179.08-145.35-282.09-291.31137-1,323.46-303.7022.2235.3845.98
295-425.06-179.08-145.35-282.09-291.31137-1,323.46-303.70275304-130.17
-133.04-72.84-59.05-57.26-81.64-116.28-322.99-104.80-87.51-130.80-159.55-111.67
295-425.06-79.11-84.56-282.09-291.31137-1,323.46-104.85-209.89-193.18-130.17
-4.857.9430.5146.17199812-42.847.151.23-47.77-54.47113
-18.36-40.19-49.84-90.34-715.10-5,184.49-52.93-128.31-3.60-90.46-173.74-168.58
-18.37-40.31-49.95-89.94-718.00-5,185.61-52.99-130.66-3.65-90.95-175.86-169.96

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312012-12-31
1.211.660.700.630.850.640.861.173.483.774.675.483.995.205.153.741.721.391.111.301.371.451.861.521.121.331.750.230.360.490.721.008.015.914.246.8210.315.426.802.12-----
-------1.18-0.730.710.550.560.510.400.360.420.060.15--------------0.771.280.940.650.520.420.381.76-----
1.080.52-3.64-2.30-10.19-2.31-10.383.422.762.481.241.261.020.660.650.990.871.602.121.300.980.830.590.791.961.190.63-1.25-1.61-2.04-4.499.743.42-4.6016.491.901.090.890.69-2.47-----
25.8220.4718.4519.6221.3529.6433.6934.1335.0830.8227.7529.6333.8136.3334.9435.9133.7524.4922.1636.1835.1531.0520.2727.5126.88-5.3921.789.36-58.09-59.37-16.7320.9729.6122.1225.9736.7935.6946.3738.3149.1444.1141.9329.07--
-222.36-223.44-273.75-242.13-221.96-182.70-225.53-191.00-163.41-176.31-248.73-189.60-189.73-157.28-181.67-154.90-178.15-245.02-242.33-195.59-191.49-202.93-273.21-299.41-265.35-277.65-325.21-449.19-428.25-458.11-396.02-255.70-215.03-262.67-331.11-430.73-362.95-298.10-451.39-228.02-233.47-163.12-301.04--
-222.36-223.44-273.75-242.13-221.96-182.70-225.53-191.00-163.41-176.31-248.73-189.60-189.73-157.28-181.67-154.90-178.15-245.02-242.33-195.59-191.49-202.93-273.21-299.41-265.35-277.65-325.21-449.19-428.25-458.11-396.02-255.70-215.03-262.67-331.11-430.73-362.95-298.10-451.39-228.02-233.47-163.12-301.04--
---------------------------------------------
-224.61-236.17-296.77-263.59-246.34-204.61-245.97-209.00-181.48-197.65-272.25-207.91-207.61-87.51-197.42-169.47-196.57-272.85-258.78-199.88-191.83-200.56-274.73-300.30-266.73-281.78-568.33-530.58-504.25-520.50-439.42-288.44-243.96-288.38-356.18-471.02-487.21-335.22-498.85-265.86-333.47-208.47-375.18--
-245.76-249.05-197.63-263.59-112.27-264.28-310.49-265.42-231.53-250.52-602.65-251.31-251.73-124.77-238.22-204.80-238.58-338.81-301.55-234.82-228.96-239.15-323.37-341.52-308.12-322.40-879.33-530.58-504.25-520.50-439.42-288.44-243.96-288.38-356.18-471.02-486.95-335.41-613.07-264.73-333.59-208.85-376.17--
0.120.110.110.140.100.120.090.080.080.080.060.080.070.070.060.080.060.050.100.110.090.080.070.090.110.110.080.130.100.090.090.090.090.120.110.050.040.040.030.13-----
0.330.360.330.290.260.260.240.270.290.280.260.370.350.430.420.450.380.270.450.420.380.390.370.430.430.590.350.400.650.590.490.440.530.530.510.330.550.430.320.40-----
1.881.981.351.882.192.221.871.891.451.671.381.731.691.571.671.841.721.361.671.761.851.921.651.761.381.231.341.701.731.651.671.311.131.371.121.391.261.851.621.49-----
47.8445.3766.6647.8841.0140.5748.2447.5462.1053.9965.0752.1753.2557.4353.8548.8952.4366.0653.8251.2248.5946.9654.3951.2165.0573.2567.3653.0252.0254.5053.8668.6779.4565.4680.0364.8971.4848.7755.6960.57-----
-95.64-56.2613681.0133163.37311-100.87-82.63-79.20-50.24-51.38-42.47-14.19-24.67-35.41-31.31-52.99-132.74-74.27-52.81-46.89-38.07-64.38-129.46-87.97-86.4028.4439.1061.58165-318.23-108.85155-889.27-86.32-49.55-30.39-24.465.65-----
-95.64-56.2613681.0133163.37311-100.87-82.63-79.20-50.24-51.38-42.47-14.19-24.67-35.41-31.31-52.99-132.74-74.27-52.81-46.89-38.07-64.38-129.46-87.97-86.4028.4439.1061.58165-318.23-108.85155-889.27-86.32-49.55-30.39-24.4670.08-----
-27.25-25.22-32.72-36.49-25.08-24.65-22.69-17.28-14.62-15.51-16.26-16.94-14.56-6.42-12.00-13.95-12.25-13.85-25.66-21.49-16.51-16.14-19.25-25.70-29.45-30.15-42.90-67.27-49.80-46.73-39.11-25.20-21.46-35.34-38.34-24.87-20.87-14.48-13.04-33.29-----
-95.64-56.2613681.0133163.37679-100.87-21.96-22.77-22.39-22.70-20.97-8.54-15.89-20.60-29.45-45.20-132.74-74.27-52.81-46.89-38.07-64.38-129.46-87.97-86.4028.4439.1061.58165-318.23-24.64-42.97-50.85-29.80-23.70-17.62-15.23-53.42-----
1.394.05-2.56-4.85-1.06-10.58-2.597.949.9713.1228.1230.5136.2954.3564.3946.1751.0444.0978.581992544636638121,0802,1242.72-42.84-0.85-0.87-0.397.150.52-0.680.141.232.122.753.48-47.77-----
-5.02-5.08-3.21-18.36-15.82-12.34-7.69-40.19-31.00-27.73-18.95-49.84-38.25-26.87-15.75-90.34-50.38-92.17-101.96-715.10-521.40-452.10-423.23-5,184.49-3,868.58-5,040.15-3.46-52.93-48.32-37.35-22.28-128.31-2.39-2.45-1.28-3.60-2.39-1.39-0.95-90.46-65.34-43.99-22.320.000.00
-5.02-5.08-3.21-18.37-15.83-12.34-7.69-40.31-31.07-27.81-19.05-49.95-38.30-26.92-15.79-89.94-50.21-92.17-101.96-718.00-524.05-455.39-427.82-5,185.61-3,971.21-5,095.67-3.43-52.99-48.38-37.42-22.32-130.66-2.44-2.51-1.30-3.65-2.41-1.40-0.97-90.91-65.50-44.02-22.33--