Cutera Financial Ratios for Analysis 2009-2024 | CUTR

Fifteen years of historical annual and quarterly financial ratios and margins for Cutera (CUTR).

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
3.074.263.381.961.621.832.043.093.024.565.545.876.237.886.89
1.701.040.700.06-----------
-2.44-27.432.370.13-----------
19.5455.4057.5551.3154.0249.4056.8457.7157.2855.5156.1553.7556.9156.7259.47
-73.57-15.130.79-15.46-6.64-8.237.312.03-4.77-13.59-7.05-8.83-17.30-20.83-19.27
-73.57-15.130.79-15.46-6.64-8.237.312.03-4.77-13.59-7.05-8.83-17.30-20.83-19.27
-64.31-12.292.48-12.76-4.18-6.367.982.86-3.52-11.88-5.30-6.76-16.25-19.49-17.67
-75.95-31.971.46-15.85-6.75-8.317.892.30-4.46-13.30-6.44-8.19-16.28-19.74-16.34
-76.67-32.620.89-16.17-6.80-18.9119.802.18-4.69-13.58-6.36-8.47-16.69-19.74-32.93
0.610.480.831.111.601.671.361.291.220.720.690.690.540.480.44
2.731.772.492.522.462.942.273.333.353.163.633.222.423.583.40
4.935.547.356.728.438.297.297.138.127.027.718.7411.6112.6616.14
74.1165.8949.6354.2843.3044.0550.0651.1644.9552.0247.3641.7631.4428.8322.62
94.765423.65-41.98-26.88-66.3346.224.22-8.87-13.18-5.63-7.21-10.99-11.02-17.53
94.034983.73-42.99-27.68-68.3147.474.32-9.14-13.51-5.87-7.54-11.04-11.10-17.67
-47.02-15.800.74-17.99-10.86-31.5126.962.81-5.73-9.74-4.37-5.81-9.04-9.41-14.57
-65.96-20.521.08-39.51-26.88-66.3346.224.22-8.87-13.18-5.63-7.21-10.99-11.02-17.53
-8.61-0.773.143.223.213.324.814.433.855.576.056.386.567.007.51
-6.93-3.570.07-1.01-0.160.020.970.14-0.10-0.300.24-0.16-0.37-0.600.00
-8.59-4.780.02-1.09-0.22-0.080.920.11-0.15-0.350.21-0.20-0.43-0.62-0.01

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
2.883.513.243.073.373.563.834.263.734.363.203.383.833.953.541.962.132.171.471.621.661.671.661.831.931.982.082.042.632.833.213.092.922.893.163.023.094.014.824.565.025.595.595.545.966.396.725.875.645.655.656.236.967.197.757.887.847.967.106.897.467.687.16
2.512.061.851.701.381.211.111.040.950.930.760.700.710.720.760.060.120.12---------------------------------------------
-1.66-1.95-2.18-2.44-3.60-5.66-9.92-27.4319.3812.563.122.372.422.513.380.130.140.14---------------------------------------------
5.5822.2432.01-25.5913.8942.1939.6757.5354.5354.5754.7958.1858.2557.6755.7956.2055.5744.0844.4755.5856.8854.0748.0541.3253.9452.5950.8057.3858.1857.8452.9757.8658.5958.2555.6359.5758.4457.0752.5454.2057.6355.7254.8958.6254.5356.8453.5556.5554.5652.6650.1259.5255.5456.5255.0559.0453.1856.3357.6062.4959.6656.0258.86
-111.44-63.43-50.09-116.11-88.10-50.41-48.79-8.22-15.02-15.67-22.68-3.091.093.532.352.89-3.09-41.45-37.62-3.72-5.220.63-22.28-12.07-2.46-5.06-13.929.5416.284.75-4.8211.745.08-5.15-9.686.65-4.26-8.56-18.89-6.24-13.56-16.00-22.56-1.53-11.75-3.19-14.504.74-5.70-7.76-33.48-5.04-17.25-19.22-34.48-10.19-29.70-31.27-15.54-2.71-13.61-39.84-25.10
-111.44-63.43-50.09-116.11-88.10-50.41-48.79-8.22-15.02-15.67-22.68-3.091.093.532.352.89-3.09-41.45-37.62-3.72-5.220.63-22.28-12.07-2.46-5.06-13.929.5416.284.75-4.8211.745.08-5.15-9.686.65-4.26-8.56-18.89-6.24-13.56-16.00-22.56-1.53-11.75-3.19-14.504.74-5.70-7.76-33.48-5.04-17.25-19.22-34.48-10.19-29.70-31.27-15.54-2.71-13.61-39.84-25.10
---------------------------------------------------------------
-118.54-71.85-58.78-113.98-94.90-53.30-50.94-10.43-18.00-73.90-25.70-5.26-1.6213.43-0.202.90-4.07-41.44-38.26-3.76-5.540.72-22.50-12.17-2.58-5.37-13.639.8316.805.51-3.8911.205.63-4.36-9.047.00-3.90-8.14-18.85-6.21-13.56-15.22-22.07-1.06-10.92-2.80-13.665.21-4.92-7.03-32.87-4.28-16.66-17.89-32.90-9.25-28.61-30.11-14.34-1.58-11.24-35.46-20.95
-120.06-71.80-58.72-115.53-95.26-53.83-51.44-11.56-19.32-73.61-26.10-6.00-2.4213.22-0.724.38-5.77-43.21-38.51-4.03-5.701.23-22.82-57.83-2.15-3.69-5.9548.0316.215.35-3.4911.125.43-4.47-9.156.82-4.15-8.37-19.11-6.37-14.08-15.46-22.30-1.25-9.91-3.26-13.554.78-4.59-7.48-33.49-4.78-18.80-16.49-33.17-8.41-28.61-30.79-14.680.05-110.87-20.27-12.67
0.140.120.120.140.110.130.110.130.150.150.220.230.210.220.190.380.320.230.340.460.410.440.370.470.340.370.320.430.380.380.330.410.370.360.300.390.300.240.180.230.180.170.150.200.160.170.140.200.180.180.150.170.140.140.110.140.110.110.120.130.100.090.11
0.540.330.360.990.650.560.470.450.510.640.510.690.680.720.640.770.590.470.480.680.580.820.700.950.600.670.540.710.670.910.881.070.760.780.741.010.710.720.761.060.710.780.761.020.730.800.670.880.710.730.580.700.700.780.720.970.790.770.840.900.620.590.60
0.980.991.051.150.931.151.051.481.752.001.752.091.872.262.062.272.221.912.062.401.991.921.882.321.591.921.722.291.952.001.642.292.592.462.012.572.562.531.832.292.142.332.462.302.252.592.342.552.483.163.503.573.734.543.493.624.003.193.944.634.624.122.74
91.8090.4685.8878.3496.4978.1485.4160.8851.4145.0551.4643.1348.2439.7943.7639.5840.4747.1943.7237.4645.3246.9447.8138.8756.4446.7952.3839.2646.2244.9954.8639.3234.7136.6244.8334.9635.1435.5849.0839.3141.9938.5736.6239.1740.0834.7038.4135.3136.3528.5025.7325.2124.1419.8125.8224.8922.5128.1722.8319.4219.4821.8232.82
15.4311.4411.8333.3138.1445.0966.7151.30-78.31-198.02-35.08-6.96-2.5114.52-0.863.85-4.34-21.70-37.02-4.54-5.971.36-21.01-56.68-1.24-2.27-2.9935.2610.113.23-1.726.913.14-2.54-4.144.10-1.94-2.79-4.64-2.02-3.27-3.35-4.33-0.33-1.95-0.68-2.321.19-1.02-1.67-6.00-0.97-3.13-2.65-4.13-1.34-3.62-3.84-2.020.01-13.51-2.10-1.64
15.3511.3711.7533.0537.7044.2964.6547.14-85.72-209.79-36.21-7.12-2.5714.90-0.893.94-4.45-22.27-38.56-4.68-6.161.41-21.76-58.37-1.26-2.31-3.0536.2110.343.31-1.767.063.22-2.62-4.264.22-2.00-2.86-4.75-2.07-3.38-3.48-4.50-0.34-2.03-0.71-2.421.24-1.07-1.76-6.35-0.97-3.15-2.66-4.15-1.35-3.65-3.87-2.040.01-13.63-2.12-1.66
-16.64-8.93-7.30-16.53-10.89-7.25-5.65-1.49-2.83-11.15-5.68-1.40-0.522.93-0.141.65-1.83-10.05-13.15-1.84-2.360.54-8.44-26.93-0.73-1.36-1.8820.576.152.05-1.164.592.03-1.63-2.752.64-1.26-2.00-3.50-1.49-2.47-2.59-3.36-0.26-1.55-0.56-1.910.95-0.82-1.35-4.88-0.80-2.63-2.23-3.52-1.14-3.08-3.28-1.700.01-11.30-1.77-1.36
-23.29-12.09-10.05-23.18-14.66-9.68-7.48-1.94-3.84-14.60-8.52-2.06-0.734.14-0.203.62-3.81-19.10-37.02-4.54-5.971.36-21.01-56.68-1.24-2.27-2.9935.2610.113.23-1.726.913.14-2.54-4.144.10-1.94-2.79-4.64-2.02-3.27-3.35-4.33-0.33-1.95-0.68-2.321.19-1.02-1.67-6.00-0.97-3.13-2.65-4.13-1.34-3.62-3.84-2.020.01-13.51-2.10-1.64
-12.53-10.73-9.60-8.61-5.82-3.71-2.13-0.770.791.222.383.143.082.972.343.222.952.992.303.213.103.052.793.325.075.024.984.814.404.304.274.433.913.683.793.853.764.765.345.575.615.715.886.056.066.306.356.386.216.216.256.566.586.706.807.007.027.227.407.517.458.408.38
-4.10-2.88-1.88-6.93-5.21-3.37-1.87-3.57-2.55-1.61-1.640.07-0.080.210.07-1.01-1.22-1.05-0.83-0.16-0.44-0.27-0.570.02-0.59-0.47-0.740.970.520.27-0.270.14-0.20-0.33-0.31-0.10-0.38-0.32-0.41-0.30-0.33-0.25-0.070.240.050.07-0.06-0.16-0.42-0.41-0.35-0.37-0.42-0.17-0.11-0.60-0.56-0.49-0.200.00-0.23-0.22-0.23
-4.17-2.94-1.90-8.59-6.75-4.64-2.40-4.78-3.27-2.05-1.660.02-0.100.200.07-1.09-1.26-1.08-0.85-0.22-0.47-0.29-0.57-0.08-0.67-0.51-0.750.920.490.25-0.280.11-0.22-0.34-0.32-0.15-0.43-0.37-0.44-0.35-0.36-0.27-0.090.210.010.05-0.07-0.20-0.45-0.43-0.37-0.43-0.44-0.19-0.12-0.62-0.58-0.50-0.21-0.011.31-0.23-0.23