BeiGene Financial Ratios for Analysis 2013-2024 | BGNE

Fifteen years of historical annual and quarterly financial ratios and margins for BeiGene (BGNE).

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
2.323.554.764.613.787.896.0910.683.023.53-
0.050.050.030.050.200.100.190.050.08-0.34-
0.250.120.100.130.250.110.240.050.28-0.26-
84.5579.7785.9877.1283.3885.5297.91100.00100.00100.00100.00
-49.12-126.40-122.31-536.69-224.16-356.05-41.30-10,940.19-643.66-120.88-48.96
-49.12-126.40-122.31-536.69-224.16-356.05-41.30-10,940.19-643.66-120.88-48.96
-45.55-121.71-118.36-526.39-219.81-350.81-39.31-10,761.78-626.13-108.94-34.68
-33.59-138.50-122.30-523.90-220.35-348.01-38.20-11,136.73-647.71-142.28-70.81
-35.86-141.52-123.93-517.01-221.53-339.91-39.06-11,141.78-647.71-140.22-67.22
0.420.220.140.060.270.090.230.000.080.24-
0.911.010.680.792.491.770.46----
6.878.182.435.116.044.838.10----
53.1544.6415071.3860.4275.6045.06----
-24.93-45.71-23.77-41.37-97.16-38.44-13.64-33.7856.1134.97-
-25.34-46.14-23.95-41.42-97.74-39.62-14.04-33.78-76.8334.97-
-15.19-31.41-17.08-28.58-58.96-29.96-8.92-29.38-48.90-34.59-
-23.61-43.63-23.01-39.49-77.98-34.68-11.11-32.20-70.9346.92-
33.8242.0259.7342.2415.8729.3715.028.898.32-6.36-
-11.09-14.51-14.00-15.38-12.49-9.880.31-2.88-4.68-1.130.58
-16.47-17.67-16.83-16.78-13.99-11.84-0.80-3.64-5.31-1.220.54

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-06-302015-03-312014-12-312013-12-31
1.931.982.082.323.163.133.753.554.074.545.054.763.403.864.624.617.696.157.963.785.406.467.527.8911.578.1411.186.099.338.386.7310.687.1611.3715.913.02----
0.050.050.060.050.050.050.050.050.040.030.030.030.060.050.050.050.030.100.080.200.160.130.130.100.090.140.110.190.160.360.050.050.090.050.020.08----
0.310.310.310.250.140.170.120.120.140.110.100.100.190.170.150.130.050.120.090.250.200.160.150.110.100.170.130.240.210.570.060.050.100.050.030.28----
82.9885.1383.3883.3287.6783.8781.7480.6680.2579.1678.7277.3177.0375.8294.6178.9476.8178.2072.8268.3959.9092.6780.3984.3383.9488.1586.0283.3399.12----100.00100.00100.00100.00100.00--
-12.01-11.53-34.77-60.50-17.15-53.54-82.91-123.29-113.09-128.64-144.57-267.19-223.95-316.5811.58-484.43-483.24-546.78-717.95-682.06-622.78-35.27-223.24-478.62-278.78-308.78-340.49-571.1352.18-----6,266.67-3,003.55-563.95-475.72-711.53--
-12.01-11.53-34.77-60.50-17.15-53.54-82.91-123.29-113.09-128.64-144.57-267.19-223.95-316.5811.58-484.43-483.24-546.78-717.95-682.06-622.78-35.27-223.24-478.62-278.78-308.78-340.49-571.1352.18-----6,266.67-3,003.55100.00-475.72-711.53--
----------------------------------------
-9.81-11.40-32.39-55.2929.35-61.73-75.24-113.38-142.21-163.24-137.38-274.23-209.78-320.4010.21-481.49-477.65-514.65-698.03-668.52-622.00-34.45-215.27-469.16-267.45-305.06-333.48-519.2351.87-----6,104.07-3,243.28100.00-408.77-740.54--
-12.12-12.96-33.41-57.9427.57-64.03-77.81-117.16-143.84-165.62-141.93-283.14-212.22-320.2410.98-472.27-466.87-510.71-698.70-682.10-612.99-35.16-215.38-457.23-265.73-297.11-321.40-546.5153.31-----6,138.42-3,249.78-582.64-408.77-740.54--
0.170.160.130.110.140.100.080.060.060.050.040.030.040.030.100.020.020.020.010.040.030.110.040.030.020.030.020.020.21--0.00-0.000.000.04----
0.390.310.280.250.300.300.280.260.260.270.270.200.310.310.450.240.590.430.490.630.540.361.160.570.440.990.610.280.34-----------
1.761.761.731.772.531.991.452.192.051.981.610.441.592.037.211.661.511.060.790.800.904.191.201.431.281.150.690.621.21-----------
51.1351.2852.1250.7935.6045.2562.2341.0043.9245.3956.0020356.4944.2712.4854.3159.5584.5511311210021.4975.2762.9870.1578.1913114674.17-----------
-3.53-3.58-7.47-10.395.72-10.03-8.38-10.16-11.98-10.67-7.39-9.88-13.05-13.321.66-12.22-9.93-13.21-12.91-39.65-23.85-5.47-10.36-15.21-7.29-12.86-7.74-14.5115.34-22.46-16.41-10.65-18.90-10.96-9.0526.78----
-3.59-3.63-7.60-10.565.81-10.16-8.46-10.25-12.08-10.76-7.45-9.96-13.11-13.361.66-12.23-9.94-13.24-12.93-39.89-23.97-5.49-10.40-15.68-7.36-13.06-7.85-14.9415.79-22.46-16.41-10.65-18.90-10.96-9.05-36.67----
-2.08-2.11-4.43-6.333.90-6.65-5.85-6.98-8.29-7.67-5.43-7.10-8.29-8.701.14-8.44-7.66-8.62-8.97-24.06-16.41-4.00-7.74-11.86-6.00-9.54-6.15-9.4911.18-12.80-13.44-9.26-15.08-9.60-8.30-23.34----
-3.35-3.39-7.06-9.845.43-9.51-7.98-9.70-11.46-10.31-7.15-9.56-12.31-12.641.58-11.66-9.59-11.85-11.90-31.82-19.92-4.75-9.06-13.72-6.66-11.05-6.90-11.8212.83-14.35-15.54-10.16-17.24-10.46-8.82-33.85----
32.2331.7332.1333.8236.1635.8839.6642.0244.8451.0857.3259.7335.9738.9343.4742.2447.2232.6236.4615.8721.4526.0427.1329.3733.4422.7325.2715.0216.856.777.738.895.706.687.398.32----
-2.04-3.86-2.96-11.09-8.75-8.20-5.41-14.51-11.39-6.00-2.31-14.00-8.53-3.211.29-15.38-10.76-7.78-4.42-12.49-8.04-3.65-2.89-9.88-6.22-4.13-2.030.31-1.75-2.20-0.90-2.88-1.92-1.19-0.88-4.46-1.58-0.440.000.00
-5.82-6.41-4.46-16.47-12.54-10.56-6.62-17.67-13.36-6.93-2.75-16.83-10.12-4.090.86-16.78-11.70-8.48-4.70-13.99-9.27-4.37-3.25-11.84-7.04-4.50-2.21-0.80-2.35-2.42-1.03-3.64-2.39-1.45-1.02-5.05-1.70-0.83--