Avalo Therapeutics Financial Ratios for Analysis 2013-2024 | AVTX

Fifteen years of historical annual and quarterly financial ratios and margins for Avalo Therapeutics (AVTX).

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
20232022202120202019201820172016201520142013
1.820.743.111.711.460.840.961.313.702.44-
-5.250.59-----0.150.72-
--1.781.42----11.370.433.58-
33.2680.9872.3895.5210853.6197.71100.00---
-1,421.57-207.41-1,521.56-1,087.37-239.06-503.3749.94-1,394.64---
-1,421.57-207.41-1,521.56-1,087.37-239.06-503.3749.94-1,394.64---
-1,115.28-198.80-1,476.16-1,059.86-158.47-407.8051.97-1,392.31---
-1,638.77-230.62-1,566.23-1,002.79-236.88-502.5849.75-1,428.60---
-1,639.50-230.78-1,563.10-947.90-238.10-569.8727.94-1,428.60---
0.090.540.070.150.190.100.650.20---
-17239.24100.00-26.5510.261.66----
14.159.411.121.531.291.163.918.70---
25.8038.8032423928331693.3741.94---
-431.87382-365.43-262.14-77.51-168.7442.61-7,956.98-80.1860.98-
986165-976.83-751.45-391.10-1,290.48-289.71-7,957.21-80.18-796.86-
-150.26-124.85-105.16-147.15-45.06-50.2127.73-285.53-48.44-130.35-
-431.87-1,620.30-150.85-262.13-77.50-168.7142.61-7,957.22-67.95-219.25-
9.11-277.785859361,3521,4652,54762.724,3233.10-
-110.47-682.39-2,027.76-1,737.53-1,275.51-257.121,917-4,717.14-4.57-24.19-18.14
-110.38-684.81-2,030.99-1,740.23-1,292.98-303.511,913-4,728.43-4.58-24.22-18.19

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302013-12-31
1.420.990.521.822.110.330.830.741.070.982.443.114.042.191.751.712.483.441.661.460.730.740.950.840.740.620.910.965.823.581.261.311.271.992.743.700.51-----
------2.495.251.141.470.840.590.450.44------0.440.450.38-0.420.430.37------0.100.140.15-2.44-----
------2.03-3.15-1.78-9.40-3.145.231.420.810.79------0.840.870.66-0.790.800.63--0.19-3.5111.375.440.720.540.43-1.40-----
387--139-4.66-10.11-16.0030.9296.47-51.6938.62-92.2732.7497.5383.7294.7293.0794.1797.6092.2193.9920870.7966.1523.6570.2680.7371.54100.00100.00100.00100.00100.00100.00--------
-5,165.06---1,343.69-1,588.98-1,111.98-1,850.95-988.1727.39-1,145.02-1,777.75-8,164.55-1,219.48-510.55-6,465.12-1,092.11-1,195.05-883.03-1,140.63-985.32-130.00-183.06-194.2624.67-596.68-120.22-83.75-195.0787.55-1,124.84-494.30-931.67-1,854.85-536.22--------
-5,165.06---1,343.69-1,588.98-1,111.98-1,850.95-988.1727.39-1,145.02-1,777.75-8,164.55-1,219.48-510.55-6,465.12-1,092.11-1,195.05-883.03-1,140.63-985.32-130.00-183.06-194.2624.67-596.68-120.22-83.75-195.0787.55-1,124.84-494.30-931.67-1,854.85-536.22--------
------------------------------------------
9,246---1,434.56-2,211.86-1,273.10-2,094.11-1,094.0821.39-1,256.73-1,879.11-8,702.73-1,293.56-517.82-6,461.52-1,091.38-1,193.34-992.53-882.79-974.36-127.60-178.94-195.3014.60-602.51-125.20-86.10-194.9987.67-1,139.74-510.31-905.35-1,918.75-541.77--------
9,252---1,432.98-2,215.25-1,274.18-2,095.79-1,095.0921.35-1,257.21-1,879.88-8,725.46-1,288.52-509.84-6,486.26-1,045.66-1,211.43-992.60-766.78279-182.46-447.08-289.3288.04-603.80-125.54-86.62-321.8874.77-1,139.74-510.31-905.35-1,918.75-541.77--------
0.00--0.030.010.030.010.030.410.030.020.000.010.050.010.030.020.020.060.020.040.020.03-0.090.060.080.070.050.890.030.110.030.030.05--------
-----39.3329.0030.9524.0068.1328.8011.1356.754.15-26.338.506.404.062.120.33-2.420.72-6.722.920.920.25---------------
0.25--4.190.1514.610.550.4711.380.560.490.050.350.660.090.340.190.340.650.110.430.460.31-1.040.440.670.680.316.622.102.051.370.851.00--------
361--21.475876.161621937.911611831,963261137987264483268139812211194288-86.7220513513328713.5942.9143.8965.8710690.00--------
109-723.57108-111.83-35.5811815989.89-157.40218-347.64-82.88-43.34-79.55-92.22-65.72-34.39-25.36-86.59-26.84-16.09-14.38-22.33-3.73-126.12-31.26-15.79-11.1084.63-57.36461-791.61-1,051.21-63.26-57.88-27.892.10-----
188-778.18109255-1,827.9738.3248.1538.75-19.4263.79273-221.54-68.26-266.39-173.86-188.40-59.55-37.86-261.14-135.4211.829.6622.01-28.5483.8019.4714.2875.4684.63-57.36461-791.64-1,051.20-63.26-57.88-27.8915.34-----
23.4090.91-98.03-38.91-17.86-33.81-27.47-29.418.73-40.30-35.62-23.85-18.32-26.80-48.27-36.89-22.41-18.53-50.22-15.60-5.12-4.27-6.90-1.11-36.39-9.67-5.94-7.2266.38-29.74-55.06-28.41-64.37-26.76-30.36-16.85-12.68-----
101-4,577.55120-111.83-35.58118-236.85-381.6422.05-101.76-55.79-34.21-24.00-44.34-92.22-65.72-34.38-25.36-86.58-26.83-9.02-7.96-13.79-3.73-72.66-17.88-9.91-11.1084.63-57.36461-791.64-1,051.20-57.01-49.57-23.6352.75-----
2.35-2.08-97.759.1118.19-118.21-113.03-277.78-51.29-150.641615851,0266431,0649361,4721,9301,2281,3521,1811,1791,5461,4651,3711,6262,2372,5472,427635-111.6462.721851,8412,9354,323-6.94-----
-3.15-2.94-7.22-110.47-143.26-363.41-205.79-682.39-576.95-722.75-406.97-2,027.76-1,615.73-1,114.08-591.04-1,737.53-998.45-650.51-304.14-1,275.51-1,153.65-657.05-216.12-257.12-95.07-54.44-25.591,9172,020-860.88-625.73-4,717.14-3,545.01-2,453.87-1,224.77-4.57-10.19-7.40-4.730.00-17.870.00
-3.15-2.94-7.22-110.38-143.13-362.98-205.28-684.81-579.35-724.17-406.97-2,030.99-1,618.79-1,114.70-591.72-1,740.23-1,000.86-650.51-304.14-1,292.98-1,170.97-674.20-227.61-303.51-100.44-56.73-27.351,9132,019-861.27-626.23-4,728.43-3,553.38-2,460.20-1,227.71-4.58-10.22-7.40-4.73--17.90-