Curis Financial Ratios for Analysis 2009-2024 | CRIS

Fifteen years of historical annual and quarterly financial ratios and margins for Curis (CRIS).

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
4.519.209.1117.143.822.114.563.567.955.199.1714.2910.1711.828.66
---0.00-1.190.600.340.230.430.380.47---
---0.01--7.891.730.680.370.950.680.87---
97.8897.4794.9995.0794.9794.6094.9994.7094.8596.5698.6898.96100.00100.00100.00
-482.21-521.75-395.01-229.79-243.46-281.29-502.73-771.08-716.95-161.15-62.77-109.71-48.79-35.24-116.94
-482.21-521.75-395.01-229.79-243.46-281.29-502.73-771.08-716.95-161.15-62.77-109.71-48.79-35.24-116.94
-490.23-516.00-380.36-228.16-242.77-279.26-498.90-767.88-714.19-158.67-61.13-108.93-48.06-30.95-108.19
-473.04-557.69-426.67-276.03-321.28-312.38-538.66-802.59-748.68-190.28-82.14-96.73-66.78-27.72-114.35
-473.04-557.69-426.67-276.03-321.28-312.38-538.66-802.59-748.68-190.28-82.14-96.73-66.78-27.72-114.35
0.130.090.070.050.290.280.130.130.080.160.190.240.310.320.24
---------------
3.593.423.303.563.083.643.223.063.745.0210.1618.6935117316.66
10210711110311810011311997.5772.7235.9419.531.042.1121.92
-241.04-121.74-50.09-22.8994.78725-222.22-206.42-91.43-62.88-27.28-47.91-24.72-9.74-29.72
-443.61-150.84-55.60-24.5874.93242-355.19-297.83-106.22-90.04-34.05-64.93-31.91-12.14-40.81
-61.35-52.07-27.99-14.64-91.55-87.18-72.25-104.60-62.11-29.91-15.29-23.53-20.46-8.76-27.21
-241.04-121.74-50.09-22.8394.78-135.14-89.37-136.72-70.16-35.76-16.85-25.61-24.72-9.74-29.72
3.349.6419.8028.56-20.40-2.7114.6220.7450.0134.6252.6142.8251.7160.0849.10
-7.26-11.64-8.22-10.58-15.80-18.16-32.42-26.97-24.23-19.56-11.59-19.22-5.98-2.17-11.66
-7.26-11.72-8.22-10.86-15.82-18.21-32.55-27.22-24.25-19.66-11.77-19.35-6.22-2.41-11.69

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
1.221.784.082.775.367.019.679.207.699.3313.029.1114.2519.9023.1517.143.102.922.763.826.938.779.812.112.633.013.604.565.153.725.863.564.545.706.357.9510.3811.2810.545.195.816.147.649.1711.3510.8914.2314.2910.5913.0112.1410.178.389.8311.4511.8217.8725.8922.738.667.9712.5315.63
---------------0.00-0.02-0.01-----1.190.970.820.690.600.550.810.660.340.290.260.240.230.210.210.200.430.400.380.400.380.410.470.500.47---------------
--------------0.010.01-0.03-0.03------7.8947.505.412.751.731.414.762.090.680.550.480.410.370.340.330.310.950.840.760.750.680.740.931.000.87---------------
99.2599.5397.7598.0097.8896.6398.9697.5497.8198.2496.0194.9995.0394.9395.0294.9795.0894.8395.3995.1094.9295.7593.8994.7094.5994.3294.7794.9494.9395.3494.7994.8894.6694.3594.8495.0894.3395.0694.9395.3594.9498.0994.9395.3999.2599.2696.1998.3496.1499.7198.90100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
-360.53-491.44-597.75-452.49-436.57-552.48-506.18-354.00-446.23-629.38-735.68-400.86-330.64-465.88-402.01-207.51-171.81-230.08-313.10-223.12-186.38-293.27-314.54-186.86-225.40-333.33-401.46-218.49-592.10-636.05-706.38-455.67-1,579.82-635.71-510.25-633.30-236.87-353.77-1,870.65-241.48-269.31-32.17-370.02-294.151.81-13.07-500.02-796.52-858.65-55.7521.2453.69-3,273.70-1,175.71-3,993.10-5,594.28-54.44-3,980.8645.10-158.10-535.36-6,714.2916.99
-360.53-491.44-597.75-452.49-436.57-552.48-506.18-354.00-446.23-629.38-735.68-400.86-330.64-465.88-402.01-207.51-171.81-230.08-313.10-223.12-186.38-293.27-314.54-186.86-225.40-333.33-401.46-218.49-592.10-636.05-706.38-455.67-1,579.82-635.71-510.25-633.30-236.87-353.77-1,870.65-241.48-269.31-32.17-370.02-294.151.81-13.07-500.02-796.52-858.65-55.7521.2453.69-3,273.70-1,175.71-3,993.10-5,594.28-54.44-3,980.8645.10-158.10-535.36-6,714.2916.99
---------------------------------------------------------------
-344.32-463.59-569.32-434.42-429.97-544.42-503.22-392.41-470.58-666.11-783.13-434.45-363.64-474.10-453.49-248.58-217.87-284.24-358.40-261.88-225.35-344.46-559.37-215.64-253.71-367.43-435.45-246.11-632.45-683.65-738.71-479.85-1,611.43-672.02-547.05-643.59-271.05-390.21-1,920.50-285.57-316.18-39.49-433.11-275.44-25.93-23.94-569.44-733.58-585.89-66.3321.4943.03-2,859.23-1,250.82-5,092.30-5,590.72-46.72-2,127.0438.10-156.94-530.54-6,609.5318.64
-344.32-463.59-569.32-434.42-429.97-544.42-503.22-392.41-470.58-666.11-783.13-434.45-363.64-474.10-453.49-248.58-217.87-284.24-358.40-261.88-225.35-344.46-559.37-215.64-253.71-367.43-435.45-246.11-632.45-683.65-738.71-479.85-1,611.43-672.02-547.05-643.59-271.05-390.21-1,920.50-285.57-316.18-39.49-433.11-275.44-25.93-23.94-569.44-733.58-585.89-66.3321.4943.03-2,859.23-1,250.82-5,092.30-5,590.72-46.72-2,127.0438.10-156.94-530.54-6,609.5318.64
0.070.050.030.030.030.030.020.030.020.020.010.020.020.010.010.010.060.050.100.090.070.040.030.070.060.040.040.040.030.030.030.040.030.020.020.020.020.020.010.030.030.070.020.020.090.080.010.020.010.080.190.290.000.010.000.000.060.000.210.050.020.000.15
---------------------------------------------------------------
0.981.000.970.960.990.920.990.970.981.001.000.971.030.961.000.991.000.951.081.010.990.980.990.961.000.940.991.061.000.920.970.960.950.900.990.990.881.000.941.020.960.990.941.036.236.261.141.861.0513.6730.483351.073.951.631.0916.632.222193.343.371.60163
91.4490.0092.9393.2790.4897.7490.6792.7491.9490.0890.1392.5687.6393.6689.7590.5790.0794.8183.2988.8291.2991.7290.9793.5690.2595.6190.8484.7990.4497.4292.7093.7095.0110091.0790.6210290.4496.0288.5993.8090.7995.9187.2314.4514.3778.9548.4685.436.582.950.2784.0022.8055.2782.905.4140.620.4126.9226.6956.400.55
1161,701-125.51-59.54-41.16-45.61-31.59-24.34-23.85-25.69-21.20-15.02-10.74-9.64-8.14-5.7520.8822.0824.1125.3824.7435.5971.99132-923.68-121.86-74.29-33.46-50.77-152.69-73.30-38.73-74.85-24.44-16.88-20.87-7.29-10.09-36.35-19.10-16.11-4.81-13.73-9.29-4.49-3.95-16.41-36.10-7.40-6.134.6815.20-12.98-13.60-16.78-12.32-2.99-4.058.93-8.19-11.79-11.872.89
56.96122-2,474.18-109.58-59.11-69.37-41.87-30.15-28.43-30.04-24.05-16.67-11.77-10.47-8.79-6.1815.8917.0419.7120.0718.3924.6643.5244.0888.09463-195.93-53.48-72.01-5,727.73-125.99-55.88-98.12-30.35-20.11-24.24-8.27-11.35-40.50-27.35-21.74-6.23-17.63-11.60-5.73-5.44-23.33-48.93-9.22-7.585.7619.62-17.96-18.10-21.57-15.35-3.64-4.9010.73-11.24-15.96-15.923.76
-23.76-23.41-19.15-15.15-13.54-14.19-12.23-10.41-10.82-12.37-11.45-8.39-6.42-5.98-5.21-3.68-13.07-14.92-36.36-24.52-15.24-14.95-17.83-15.90-16.32-16.29-17.51-10.88-18.77-22.09-21.34-19.63-42.82-15.24-11.07-14.18-5.22-7.28-26.69-9.09-8.18-2.57-7.38-5.21-2.38-1.90-7.62-17.73-6.44-5.254.0212.58-10.82-11.41-14.47-11.07-2.79-3.828.13-7.50-10.69-11.152.74
1161,701-125.51-59.54-41.16-45.61-31.59-24.34-23.85-25.69-21.20-15.02-10.74-9.64-8.14-5.7421.3822.4124.1125.3824.7435.5971.99-24.65-23.30-22.42-22.90-13.46-22.66-28.65-25.07-25.65-52.82-18.00-12.88-16.01-5.73-7.94-29.11-10.86-9.59-2.97-8.26-5.74-2.64-2.09-8.26-19.30-7.40-6.134.6815.20-12.98-13.60-16.78-12.32-2.99-4.058.93-8.19-11.79-11.872.89
-1.45-0.121.613.345.035.287.579.6411.5713.5216.5819.8022.4724.5626.6428.56-10.10-12.00-22.02-20.40-15.67-12.21-8.28-2.710.474.298.7314.6218.576.4114.9520.7427.0535.6843.3550.0159.1962.7668.2734.6240.2845.8347.1752.6149.4240.1037.7442.8257.1859.1660.5051.7142.3247.2452.7560.0866.9568.5178.3549.1051.7655.2360.13
-5.10-4.19-2.29-7.26-4.94-4.15-2.53-11.64-8.97-6.32-3.67-8.22-6.43-4.33-2.88-10.58-7.34-7.16-5.23-15.80-12.41-8.39-4.36-18.16-15.15-10.20-6.03-32.42-27.88-16.95-10.67-26.97-20.01-14.57-6.19-24.23-14.82-11.33-7.19-19.56-14.09-11.67-6.18-11.59-4.88-5.31-5.40-19.22-2.332.944.72-5.98-17.31-11.56-6.10-2.172.763.869.00-11.66-6.73-3.241.75
-5.10-4.19-2.29-7.26-4.94-4.15-2.53-11.72-9.06-6.40-3.67-8.22-6.43-4.33-2.88-10.86-7.58-7.41-5.37-15.82-12.44-8.41-4.36-18.21-15.20-10.25-6.08-32.55-27.98-17.04-10.70-27.22-20.21-14.77-6.20-24.25-14.84-11.34-7.20-19.66-14.17-11.74-6.18-11.77-5.05-5.35-5.45-19.35-2.382.904.71-6.22-17.56-11.83-6.12-2.412.643.819.00-11.69-6.74-3.251.74