Coherus BioSciences Financial Ratios for Analysis 2009-2024 | CHRS

Fifteen years of historical annual and quarterly financial ratios and margins for Coherus BioSciences (CHRS).

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
202320222021202020192018201720162015201420132012201120102009
1.432.753.645.272.982.545.122.861.863.460.852.202.142.062.16
1.691.410.810.590.631.600.770.84----0.240.240.27
-2.45-3.434.181.441.70-2.673.335.18---0.10-0.320.310.37
38.1966.7982.3692.0895.20-100.00100.00100.00100.00100.00100.0050.1549.2349.58
-78.99-121.72-80.8032.8530.27--14,918.77-60.98-729.23-207.94-1,308.36-2,028.330.94-2.13-4.24
-78.99-121.72-80.8032.8530.27--14,918.77-60.98-729.23-207.94-1,308.36-2,028.330.94-2.13-4.24
-77.52-119.97-79.7433.4631.18--14,700.39-59.41-723.01-205.77-1,293.68-2,016.690.94-2.13-4.24
-92.62-138.24-87.9228.5226.06--15,314.01-67.22-745.44-280.26-1,949.66-1,738.710.25-2.76-4.43
-92.48-138.24-87.9227.7925.23--15,306.55-66.98-743.18-280.12-1,949.66-1,738.71-0.10-2.62-3.78
0.410.440.480.570.87-0.011.070.140.170.060.071.962.021.78
2.541.811.530.851.74-------3.863.713.89
0.991.922.653.03---10219.2612.879.9012.0250.5956.3861.36
370190138120---3.5718.9528.3636.8830.377.216.475.95
123212-293.7847.0785.38543-780.37-660.273,232-130.5955.2572.56-0.85-22.61-26.63
89.74204-304.9047.6788.37497-883.46-809.252,134-137.95127-359.20-0.48-13.03-16.77
-37.78-60.68-42.2615.7121.97-210.53-146.54-71.60-105.44-46.56-113.04-124.44-0.20-5.28-6.74
-84.98-87.45-56.7419.3131.68-324.66-180.32-106.843,232-130.59127-359.20-0.37-9.95-12.25
-1.72-1.741.273.871.50-0.570.510.42-0.182.01-8.761.90---
-1.86-3.11-0.501.850.39-2.45-3.77-6.03-2.91-2.924.63-8.760.000.000.00
-1.86-3.13-0.511.760.36-2.46-3.86-6.18-3.08-3.274.52-9.62---

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302012-12-31
1.211.171.431.852.282.562.752.623.173.333.642.102.302.405.275.455.213.322.983.343.363.842.545.317.784.065.125.464.274.402.863.042.192.281.862.293.432.773.462.47---0.85-
1.471.381.691.391.591.711.411.261.060.970.810.680.650.700.590.610.650.530.630.761.021.281.600.890.621.030.770.650.770.570.840.762.643.06-----------
-3.14-5.80-2.45-3.54-2.70-2.40-3.43-4.84-18.6033.474.183.112.603.171.441.581.881.141.703.17-44.46-4.59-2.678.291.66-33.023.331.843.271.315.183.15-1.61-1.49-----------
56.3455.127.6056.1457.6847.9868.6922.4381.2584.4183.5074.2180.9590.9589.4392.0792.5394.1093.7094.2399.2894.00------100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00-100.00-
-31.56-55.18-75.29-42.92-58.83-208.86-113.54-177.11-73.17-134.62-53.90-39.74-27.57-201.5614.8829.6948.1435.1836.3646.4232.95-44.74-------4,060.07-44,979.50-8,703.8351.96-445.95-520.69-511.93-993.68-857.78-632.50-409.06-40.01-361.29-382.68--1,340.51-
-31.56-55.18-75.29-42.92-58.83-208.86-113.54-177.11-73.17-134.62-53.90-39.74-27.57-201.5614.8829.6948.1435.1836.3646.4232.95-44.74-------4,060.07-44,979.50-8,703.8351.96-445.95-520.69-511.93-993.68-857.78-632.50-409.06-40.01-361.29-382.68--1,340.51-
---------------------------------------------
-19.88133-87.03-53.67-73.01-233.47-129.81-190.76-83.37-159.83-62.32-46.70-34.12-208.289.7524.7644.4631.4233.3242.8828.31-53.92-------3,971.47-46,473.29-8,998.1551.49-498.65-530.29-515.59-997.42-859.80-702.91-446.99-49.30-504.93-699.94--4,243.68-
-19.88133-87.03-53.16-73.01-233.47-129.81-190.76-83.37-159.83-62.32-46.70-34.12-208.288.7924.6043.5130.6231.6742.1228.25-53.92-------3,966.74-46,445.96-8,995.4251.55-497.35-529.07-513.74-995.31-856.54-700.95-448.70-49.04-502.66-699.94--4,243.68-
0.100.100.150.130.130.080.090.080.110.100.110.110.120.120.130.140.180.250.300.340.350.20----0.00-0.010.000.000.850.060.050.050.040.030.040.030.12---0.01-
0.460.561.350.490.390.340.371.270.360.250.320.570.420.150.260.260.370.420.800.840.140.96-----------------------
0.210.270.350.340.420.320.410.500.520.510.600.610.620.590.700.710.790.69-1.251.080.80-------6.190.4538933.5810.346.5413.274.722.882.69----1.87-
434332256261217282218181173175151149146152128127114130-72.2483.48113-------14.531980.232.688.7013.776.7819.0631.2133.50----48.02-
15.36-125.7041.1829.6724.5338.5442.8489.21222-764.82-46.79-29.46-19.14-135.463.4610.9227.6722.6237.2883.97-591.3951.94162-474.63-70.651,435-160.70-107.44-179.54-97.22-392.3926411398.00759-178.53-61.26-107.49-43.485.21---21.56-
9.26-74.0430.0522.0123.7437.4241.0784.02191-1,067.59-48.56-30.29-19.59-139.353.5011.0828.1323.1438.5989.67-312.2347.54148-666.13-74.97666-181.93-114.90-202.98-101.94-480.9329810793.04501-195.97-63.61-118.61-45.93-140.92---50.67-
-1.9113.47-12.65-6.79-9.13-18.82-12.24-15.73-9.18-16.19-6.73-5.19-4.04-24.951.153.487.807.629.5914.379.80-10.75-62.93-41.58-23.20-34.49-30.18-31.09-32.16-32.89-42.5543.59-27.94-28.97-24.76-35.33-23.66-26.67-15.50-6.13----45.26-
-7.1847.23-28.45-11.69-14.41-27.53-17.64-23.21-12.59-22.19-9.04-9.34-6.74-40.631.424.249.5910.5813.8320.1213.61-14.49-97.05-51.11-26.61-44.80-37.13-37.78-42.04-42.14-63.4963.68-186.18-202.00759-178.53-61.26-107.49-43.48-86.22---50.67-
-0.73-0.72-1.72-1.22-1.85-2.44-1.74-1.25-0.290.161.271.712.041.753.873.552.992.221.500.80-0.06-0.56-0.570.180.91-0.050.510.950.601.500.420.73-1.43-1.71-0.181.032.521.132.011.99-----
0.11-0.37-1.86-1.66-1.23-0.87-3.11-1.82-1.34-0.70-0.500.190.020.021.851.380.830.180.390.14-0.61-0.82-2.45-1.65-1.08-0.56-3.77-3.15-2.51-1.50-6.03-3.21-2.55-1.95-2.91-2.96-1.43-0.99-1.212.123.473.530.003.030.00
0.11-0.37-1.86-1.66-1.23-0.87-3.13-1.84-1.36-0.71-0.510.180.010.021.761.310.780.160.360.12-0.61-0.83-2.46-1.66-1.08-0.56-3.86-3.23-2.56-1.54-6.18-3.27-2.61-2.01-3.08-3.08-1.49-1.03-1.351.593.103.47-2.97-