Celldex Therapeutics Financial Ratios for Analysis 2009-2024 | CLDX

Fifteen years of historical annual and quarterly financial ratios and margins for Celldex Therapeutics (CLDX).

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
13.8717.0724.8613.935.737.865.225.559.758.3715.004.813.823.125.83
--0.00--------0.060.120.110.14
--0.00---0.030.02---0.120.220.300.16
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.0043.233.811.5874.1944.68
-2,245.27-4,889.01-1,531.78-854.06-1,540.19-1,640.13-953.68-1,958.68-2,363.89-3,414.11-1,981.08-518.45-468.42-13.79-242.75
-2,245.27-4,889.01-1,531.78-854.06-1,540.19-1,640.13-953.68-1,958.68-2,363.89-3,414.11-1,981.08-518.45-468.42-13.79-242.75
-2,291.97-4,730.34-1,459.56-568.27-1,436.13-657.44-914.28-1,884.73-2,284.31-3,316.62-1,942.67-496.34-423.32-1.30-219.49
-2,054.76-4,765.59-1,520.92-821.61-1,423.96-1,593.09-920.61-1,894.05-2,321.11-3,292.81-1,983.70-527.79-483.53-5.41-244.10
-2,054.76-4,765.59-1,516.04-805.88-1,423.96-1,585.07-730.06-1,894.05-2,321.11-3,292.81-1,983.70-527.79-483.53-5.41-240.61
0.010.010.010.030.030.060.040.020.020.010.010.090.090.430.11
---------------
2.626.7927.044.123.523.026.783.805.658.408.4125554.5014427.90
13953.7413.5088.6710412153.8595.9664.6143.4643.421.436.702.5313.08
-32.95-34.43-16.81-28.55-54.11-121.86-39.36-48.42-43.85-55.79-25.50-61.73-65.19-3.37-49.51
-35.18-37.57-17.97-33.46-112.22-200.59-119.57-138.25-48.86-65.28-28.32-93.88-128.61-6.42-104.89
-30.37-31.84-15.86-25.35-41.39-97.03-29.48-33.53-37.68-47.61-23.50-47.09-45.72-2.30-26.02
-32.95-34.43-16.76-28.55-54.11-121.86-39.36-48.42-43.85-55.79-25.50-58.24-57.63-3.01-42.74
7.686.918.985.295.5410.3725.5933.0244.0735.4253.7222.3123.3035.2034.90
-2.21-2.21-1.42-1.36-3.20-7.21-11.66-16.70-15.28-17.03-12.72-12.93-13.53-14.29-22.59
-2.25-2.25-1.45-1.41-3.25-7.25-11.87-17.11-16.03-17.35-13.51-12.95-13.70-15.24-22.35

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
24.2729.3631.7713.878.8416.9319.0317.0720.5412.2926.8324.8630.0911.5710.6913.9316.6319.285.125.736.327.337.417.866.596.025.455.225.915.566.425.5511.2611.4410.319.7513.0812.7217.228.3710.6312.0614.1915.008.3312.5110.064.815.216.397.513.825.977.045.183.122.542.883.155.831.992.612.98
-----------0.00----------------------------------0.020.060.070.080.080.120.120.100.150.11---0.14-0.790.190.08
----0.020.00-----0.000.00---0.01---0.030.020.02-0.040.040.060.030.030.020.020.020.020.020.02-0.010.010.01-0.010.010.00-0.01-0.050.120.140.150.140.220.190.170.240.300.260.200.170.16-0.540.290.11
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.003.312.603.446.773.663.121.900.560.5681.9749.4241.3137.3342.4048.5949.0140.25
-1,633.53-1,854.16-26,030.77-1,152.92-2,718.46-12,389.92-3,357.91-1,728.77-6,804.91-22,328.83-13,366.09-6,108.11-13,610.46-386.21-2,429.05-654.52-2,147.01-4,815.68-471.66-1,464.37-2,169.23-1,714.27-1,259.02-686.41-825.08-610.68-2,941.91-738.60-814.50-755.50-2,288.92-1,859.82-1,351.04-2,330.17-2,740.14-1,868.10-3,155.07-1,503.67-6,374.69-2,169.94-2,755.86-4,822.47-7,569.47-3,566.78-2,374.39-19,235.05-720.84-453.80-473.85-671.38-546.16-508.71-485.74-506.20-383.8655.98-368.73-314.67-253.35-278.58-177.57-324.88-208.63
-1,633.53-1,854.16-26,030.77-1,152.92-2,718.46-12,389.92-3,357.91-1,728.77-6,804.91-22,328.83-13,366.09-6,108.11-13,610.46-386.21-2,429.05-654.52-2,147.01-4,815.68-471.66-1,464.37-2,169.23-1,714.27-1,259.02-686.41-825.08-610.68-2,941.91-738.60-814.50-755.50-2,288.92-1,859.82-1,351.04-2,330.17-2,740.14-1,868.10-3,155.07-1,503.67-6,374.69-2,169.94-2,755.86-4,822.47-7,569.47-3,566.78-2,374.39-19,235.05-720.84-453.80-473.85-671.38-546.16-508.71-485.74-506.20-383.8655.98-368.73-314.67-253.35-278.58-177.57-324.88-208.63
---------------------------------------------------------------
-1,319.99-1,434.83-21,030.77-1,048.32-2,522.08-11,381.34-3,036.30-1,642.10-6,580.84-22,088.34-13,247.13-6,050.45-13,515.69-384.28-2,414.31-603.25-2,129.34-4,770.76-462.79-1,177.79-2,090.29-1,647.41-1,209.76-532.39-769.71-593.81-2,922.74-663.28-804.36-746.04-2,233.44-1,723.96-1,333.24-2,300.36-2,661.01-1,825.92-3,116.96-1,485.72-6,208.64-2,154.44-2,550.59-4,776.01-7,188.22-3,558.39-2,361.23-19,604.12-717.98-460.84-482.72-685.56-555.53-523.09-498.18-524.39-399.8060.08-377.37-322.77-177.27-284.64-178.01-324.21-206.40
-1,319.99-1,434.83-21,030.77-1,048.32-2,522.08-11,381.34-3,036.30-1,642.10-6,580.84-22,088.34-13,247.13-6,050.45-13,367.32-384.28-2,414.31-578.45-2,129.34-4,674.15-462.79-1,177.79-2,090.29-1,647.41-1,209.76-532.39-769.71-593.81-2,903.93-111.14-671.84-746.04-2,233.44-1,723.96-1,333.24-2,300.36-2,661.01-1,825.92-3,116.96-1,485.72-6,208.64-2,154.43-2,550.59-4,776.01-7,188.22-3,558.39-2,361.22-19,604.13-717.98-460.84-482.72-685.56-555.53-523.09-498.18-524.39-399.8060.08-377.37-322.77-177.27-273.46-178.01-324.21-206.40
0.000.000.000.010.010.000.000.000.000.000.000.000.000.020.000.020.000.000.020.010.000.010.010.010.010.020.020.010.010.010.000.000.010.010.000.010.000.010.000.010.000.000.000.000.010.000.010.030.030.020.020.020.020.020.030.340.020.020.030.030.080.050.06
---------------------------------------------------------------
3.751.630.061.576.022.270.744.652.151.680.721.940.787.020.372.100.800.722.460.870.750.610.620.560.300.811.011.841.302.821.111.051.411.241.541.851.955.020.723.460.381.131.361.271.108.0823.2182.8997.2832.9317.3814.3211.5811.9810.351165.284.004.328.703.692.653.46
24.0355.271,54157.2514.9539.6312219.3641.7953.5612646.4911612.8324042.8411312536.5510312014714616130411188.9448.9669.1131.9481.2085.6864.0172.3158.5048.7746.2317.9312626.0223779.8165.9970.9881.7311.133.881.090.932.735.186.297.777.528.690.7717.0422.5120.8210.3424.3633.9625.98
-5.36-4.41-3.91-10.09-15.51-10.99-9.70-8.12-7.75-9.86-5.79-4.80-4.68-7.34-8.52-10.46-6.19-4.63-15.08-11.11-11.26-10.74-15.30-7.58-5.65-12.81-88.10-1.63-12.03-12.34-13.82-12.17-13.63-13.61-13.33-11.27-10.04-9.36-8.03-15.03-11.73-10.66-10.25-6.90-14.76-10.74-8.89-17.55-16.51-14.57-12.53-18.53-14.59-11.13-15.2930.11-17.47-15.87-9.61-17.55320-202.30-65.33
-5.55-4.56-4.04-10.77-17.43-12.18-10.66-8.86-8.42-10.66-6.21-5.14-4.99-8.82-10.12-12.26-7.70-5.71-36.06-23.04-21.66-19.33-26.93-12.47-9.12-20.67-138.34-4.94-43.68-48.06-45.32-34.75-15.74-15.55-15.04-12.55-11.08-10.25-8.75-17.59-13.48-12.08-11.49-7.66-18.56-13.13-10.67-26.69-25.93-22.49-18.19-36.55-25.32-17.90-33.0257.44-57.74-40.99-21.21-37.17172-383.99-79.75
-5.12-4.24-3.78-9.30-13.65-10.19-9.05-7.51-7.25-8.93-5.44-4.53-4.44-6.54-7.55-9.29-5.56-4.22-11.22-8.50-8.66-8.28-11.68-6.03-4.30-9.20-61.73-1.22-8.25-8.25-9.52-8.43-11.75-11.78-11.48-9.68-9.07-8.44-7.40-12.83-10.34-9.50-9.38-6.36-12.79-9.69-7.72-13.39-12.54-11.28-9.88-12.99-10.86-8.64-10.8920.61-8.13-7.83-4.97-9.22-14.91-16.00-12.13
-5.36-4.41-3.91-10.09-15.51-10.99-9.70-8.12-7.75-9.86-5.79-4.79-4.68-7.34-8.52-10.46-6.19-4.63-15.08-11.11-11.26-10.74-15.30-7.58-5.65-12.81-88.10-1.63-12.03-12.34-13.82-12.17-13.63-13.61-13.33-11.27-10.04-9.36-8.03-15.03-11.73-10.66-10.25-6.90-14.76-10.74-8.69-16.56-15.28-13.35-11.48-16.38-12.84-10.03-12.9826.93-17.47-15.87-9.61-15.15573-163.35-59.97
11.8512.2812.727.685.225.876.416.917.337.988.518.989.364.604.905.295.816.104.725.546.377.408.7710.3711.4012.2614.0225.5924.8727.2429.9233.0232.1535.4039.4944.0748.4352.6257.1735.4240.1344.5048.9753.7228.9732.7936.1422.3122.4424.1327.5423.3027.4031.2530.7735.2024.3328.2132.3234.90-2.114.0611.17
-1.89-1.06-0.69-2.21-1.58-1.18-0.61-2.21-1.75-1.00-0.52-1.42-1.02-0.76-0.46-1.36-0.90-1.06-0.70-3.20-2.32-1.74-1.08-7.21-5.48-4.62-2.99-11.66-9.30-6.71-4.31-16.70-13.80-10.43-5.30-15.28-12.95-8.73-5.29-17.03-13.30-8.85-5.35-12.72-9.75-6.53-3.48-12.93-9.19-6.51-4.05-13.53-8.93-7.30-4.15-14.29-11.44-7.83-3.28-22.59-17.96-12.80-5.26
-1.91-1.07-0.70-2.25-1.61-1.20-0.62-2.25-1.78-1.03-0.54-1.45-1.04-0.77-0.47-1.41-0.93-1.11-0.71-3.25-2.36-1.77-1.09-7.25-5.51-4.68-3.02-11.87-9.48-6.87-4.36-17.11-14.12-10.63-5.38-16.03-13.63-9.20-5.54-17.35-13.60-9.03-5.39-13.51-10.10-6.70-3.52-12.95-9.18-6.50-4.06-13.70-9.04-7.38-4.21-15.24-12.20-8.36-3.46-22.35-17.58-12.31-4.59