Avid Bioservices Financial Ratios for Analysis 2009-2024 | CDMO

Fifteen years of historical annual and quarterly financial ratios and margins for Avid Bioservices (CDMO).

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
1.470.522.382.931.342.221.791.431.422.163.862.041.411.741.911.07
0.730.010.010.56----------0.090.78
2.640.750.011.250.10--------0.090.245.19
5.2321.0930.6430.576.5913.48-5.4533.6148.2241.7841.4841.9133.3545.9268.8150.06
-13.352.4112.9012.77-18.32-10.49-38.492.247.86-188.56-159.39-130.76-276.18-257.09-48.72-89.89
-13.352.4112.9012.77-18.32-10.49-38.492.247.86-188.56-159.39-130.76-276.18-257.09-48.72-89.89
-4.347.9417.5017.33-13.15-5.37-33.716.5211.32-184.68-154.99-125.74-270.00-243.43-44.72-84.70
-19.251.0710.5911.70-17.53-9.96-38.352.428.11-188.04-157.86-137.34-276.50-253.12-51.87-91.04
-100.600.171073.46-25.38-16.61-49.42-56.91-135.57-201.84-159.65-137.34-276.50-253.12-51.87-91.04
0.420.330.280.360.550.680.560.490.410.270.250.480.540.390.950.78
4.372.683.185.615.127.073.511.161.422.122.372.902.811.382.791.93
8.418.165.825.096.947.2714.287.4415.517.0216.8213.056.479.1015.124.89
43.4244.7462.7171.7452.6150.2125.5549.0323.5351.9721.7027.9856.3840.0924.1474.69
-231.160.1473.1514.42-24.98-9.53-36.892.607.18-85.30-52.23-125.34-444.15-221.50-108.11-1,833.96
-231.160.1473.1514.42-24.98-9.53-36.892.607.18-85.30-52.23-125.34-444.15-221.50-108.11-1,833.96
-41.820.0629.704.22-9.73-6.45-21.471.183.30-51.67-39.05-66.09-149.03-98.23-49.41-71.45
-63.520.1472.296.42-24.98-9.53-36.892.607.18-85.30-52.23-125.34-444.15-221.50-98.45-402.14
0.963.022.821.270.740.951.001.221.482.142.651.160.651.541.770.14
0.17-0.200.130.520.10-0.21-0.55-1.06-1.28-1.38-1.22-1.22-3.00-3.04-1.99-1.56
-0.33-1.42-0.670.360.04-0.13-0.57-1.15-1.57-1.73-1.26-1.27-3.13-3.15-2.02-1.58

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.461.470.460.480.480.521.521.771.942.382.632.983.172.931.861.451.501.341.571.671.782.222.342.262.211.791.131.461.671.431.191.251.241.421.612.112.032.162.433.453.863.863.482.732.502.041.801.441.051.411.701.771.661.741.911.621.741.911.921.431.291.071.29
0.730.730.040.040.010.010.430.440.440.010.710.730.760.56--------0.000.000.00------------------------------0.030.050.090.120.210.340.780.49
2.742.640.830.810.750.750.770.780.790.012.502.773.111.25---0.10----0.000.000.00--------------------------0.030.070.090.100.200.210.240.290.510.875.191.22
14.2212.807.05-18.3710.8721.0825.8411.9324.8522.3728.8435.1837.0429.5028.4430.4733.65-10.355.7818.357.1221.3914.883.289.47-28.24-60.60-27.0724.4834.1925.8033.9345.4147.3241.9350.2252.3548.8845.1634.3034.8140.8637.8142.9643.0524.3848.1339.6852.3954.7724.2912.1546.6548.3040.1335.7163.9849.5781.0348.6784.1056.8839.85
-6.11-3.01-11.83-44.19-5.732.097.15-7.727.453.4210.3815.9122.5411.1910.0210.6918.58-38.46-16.28-2.89-22.110.44-8.65-24.39-16.07-88.49-131.34-65.0410.25101-14.81-17.45-197.58260-251.41-145.16-142.22-130.74-229.38-192.65-239.65-162.64-250.79-106.26-162.54-198.94-73.32-114.95-180.45-527.36-338.10-284.40-142.37-364.75-306.73-179.36-234.09-171.24-13.33-36.79-32.44-42.86-47.38
-6.11-3.01-11.83-44.19-5.732.097.15-7.727.453.4210.3815.9122.5411.1910.0210.6918.58-38.46-16.28-2.89-22.110.44-8.65-24.39-16.07-88.49-131.34-65.0410.25101-14.81-17.45-197.58260-251.41-145.16-142.22-130.74-229.38-192.65-239.65-162.64-250.79-106.26-162.54-198.94-73.32-114.95-180.45-527.36-338.10-284.40-142.37-364.75-306.73-179.36-234.09-171.24-13.33-36.79-32.44-42.86-47.38
---------------------------------------------------------------
-13.78-12.17-20.87-46.90-7.241.386.61-9.835.301.887.1313.4920.507.2110.1210.8418.63-37.99-15.49-2.35-20.740.98-8.58-23.22-15.58-88.35-130.93-64.9410.34101-14.60-17.36-197.13257-251.11-138.59-141.90-130.37-228.89-192.06-238.88-158.29-250.30-105.93-162.12-198.61-69.81-142.58-180.29-526.97-338.01-284.85-143.09-366.95-309.71-160.84-239.79-175.14-15.57-40.41-35.97-45.88-48.81
-13.78-286.46-17.76-37.49-5.62-0.84-0.65-1.503.713707.1313.4920.50-5.713.514.0012.95-40.86-26.10-10.22-30.20-8.60-18.73-14.26-27.0338.31-182.52-110.05-9.78-31.55-85.75-23.53-221.73-66.27-271.68-153.08-156.15-136.86-247.08-208.43-257.59-164.49-250.30-105.93-162.12-198.61-69.81-142.58-180.29-526.97-338.01-284.85-143.09-366.95-309.71-160.84-239.79-175.14-15.57-40.41-35.97-45.88-48.81
0.120.130.070.060.090.090.080.080.080.070.100.090.110.100.130.190.240.120.130.170.150.220.180.130.150.070.100.160.270.150.100.210.050.170.060.080.110.100.070.080.060.070.050.130.090.090.190.170.130.070.110.160.210.080.080.160.110.150.360.250.260.340.30
1.181.230.910.780.820.720.630.780.910.931.060.831.271.641.311.511.751.271.341.911.762.041.351.011.240.550.770.980.840.360.240.600.120.600.260.380.440.650.510.770.600.690.461.040.470.740.790.680.350.260.911.170.670.270.440.840.250.710.490.610.170.720.74
1.922.581.821.902.332.182.561.691.411.521.121.441.681.470.801.821.771.461.342.471.862.311.752.434.271.850.863.643.432.311.833.850.746.450.783.285.362.440.901.873.954.861.403.802.062.563.552.651.870.881.583.555.201.841.171.591.712.393.561.692.132.122.90
46.9634.8649.3447.4238.6741.3835.1053.2963.6459.2280.0162.5253.7161.4311249.4350.7261.7267.2536.4848.5238.9151.4937.1121.1048.6610524.7026.2138.9249.2723.3612113.9411527.4516.8036.8799.6248.0122.7818.5264.4523.6943.6235.1625.3534.0148.0810357.0025.3317.3048.8876.6756.7852.7837.6325.3153.2742.1942.4931.01
-9.44-202.18-3.33-5.19-1.12-0.18-0.13-0.290.7666.243.976.8914.122.562.594.6310.16-11.38-4.47-0.87-6.370.44-2.15-4.00-3.46-11.01-28.33-19.355.0033.73-3.92-9.62-27.0194.59-28.11-19.07-24.75-20.56-26.10-20.59-20.02-15.14-17.66-21.85-23.35-35.56-28.24-69.08-195.31-114.75-85.94-96.47-68.59-64.95-50.28-64.63-59.94-57.74-12.16-35.20-46.47-400.55-87.87
-9.44-202.18-3.33-5.19-1.12-0.18-0.13-0.290.7666.243.976.8914.122.562.594.6210.16-11.38-4.47-0.87-6.370.44-2.15-4.00-3.46-11.01-28.33-19.355.0033.73-3.92-9.62-27.0194.59-28.11-19.07-24.75-20.56-26.10-20.59-20.02-15.14-17.66-21.85-23.35-35.56-28.24-69.08-195.31-114.75-85.94-96.47-68.59-64.95-50.28-64.63-59.94-57.74-12.16-35.20-46.47-400.55-87.87
-1.65-36.58-1.32-2.09-0.48-0.07-0.05-0.120.3026.890.721.172.330.751.312.014.48-4.43-2.00-0.41-3.100.30-1.50-2.73-2.32-6.41-12.78-10.562.7915.30-1.41-3.69-10.4743.44-14.15-11.72-14.91-12.45-16.42-14.86-14.99-11.32-12.71-14.14-14.25-18.75-13.23-23.96-24.33-38.50-37.67-44.20-29.95-28.80-25.22-26.11-26.26-26.39-5.59-10.12-9.26-15.61-14.60
-2.52-55.56-3.20-4.98-1.11-0.18-0.08-0.160.4265.451.131.833.441.142.594.6210.16-11.38-4.47-0.87-6.370.44-2.14-3.99-3.45-11.01-28.33-19.355.0033.73-3.92-9.62-27.0194.59-28.11-19.07-24.75-20.56-26.10-20.59-20.02-15.14-17.66-21.85-23.35-35.56-28.24-69.08-195.31-114.75-85.94-96.47-68.59-64.95-50.28-62.83-56.79-52.58-10.65-27.66-30.47-87.83-44.64
0.920.962.842.903.013.022.972.912.882.820.920.830.731.271.400.870.820.740.830.870.880.950.950.981.011.000.700.951.241.221.031.171.191.481.812.151.932.141.892.262.562.652.181.561.481.160.910.720.260.650.971.061.151.541.861.371.611.771.741.130.770.140.59
-0.060.170.150.100.00-0.20-0.23-0.14-0.080.130.140.06-0.110.520.220.14-0.040.100.050.06-0.04-0.21-0.31-0.25-0.13-0.55-0.62-0.43-0.27-1.06-0.74-0.48-0.52-1.28-1.05-0.91-0.61-1.38-1.29-0.94-0.49-1.22-0.93-0.61-0.38-1.22-0.86-0.62-0.01-3.00-2.18-1.68-0.92-3.04-2.12-1.57-0.91-1.99-1.40-1.08-0.54-1.56-1.34
-0.08-0.33-0.26-0.25-0.23-1.42-0.99-0.81-0.19-0.67-0.36-0.13-0.180.360.130.09-0.050.040.000.04-0.04-0.13-0.22-0.15-0.08-0.57-0.67-0.47-0.28-1.15-0.81-0.51-0.53-1.57-1.29-1.07-0.65-1.73-1.47-1.04-0.55-1.26-0.96-0.61-0.38-1.27-0.90-0.64-0.02-3.13-2.27-1.75-0.95-3.15-2.19-1.64-0.98-2.02-1.41-1.08-0.54-1.58-1.36