Dynavax Technologies Financial Ratios for Analysis 2009-2024 | DVAX

Fifteen years of historical annual and quarterly financial ratios and margins for Dynavax Technologies (DVAX).

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
13.816.111.753.753.934.5810.654.476.956.2811.886.744.585.352.64
0.290.300.500.750.960.62---0.09-----
0.410.440.993.0621.541.60---0.10-----
78.4063.7360.5075.4971.12-33.37100.00100.00100.00100.00100.00100.00100.00100.00100.00
-15.9439.2330.60-146.87-382.87-1,870.20-29,359.33-1,002.51-2,594.40-827.69-590.95-695.86-220.12-198.70-37.49
-15.9439.2330.60-146.87-382.87-1,870.20-29,359.33-1,002.51-2,594.40-827.69-590.95-695.86-220.12-198.70-37.49
-19.9439.5832.32-125.67-325.89-1,712.55-28,061.16-980.46-2,544.40-806.98-570.95-670.07-207.29-187.17-30.44
-1.8840.7217.64-161.63-433.29-1,938.27-29,099.08-1,018.24-2,636.89-822.35-593.01-720.08-224.84-239.28-37.52
-2.7540.5316.42-161.63-442.57-1,938.27-29,099.08-1,018.24-2,636.89-822.35-668.29-720.08-224.84-239.28-75.81
0.230.730.420.130.130.040.000.100.020.080.060.070.160.280.80
0.944.412.830.180.250.57---------
5.224.903.332.053.962.210.388.232.9115.176.929.672.2723.9345.05
69.9874.5010917892.0916595344.3612624.0552.7837.7616115.268.10
-1.0350.4634.50-128.19-1,840.77-251.96-47.68-126.06-57.09-90.29-35.81-60.92-48.66-109.97-237.25
-1.0350.6334.83-133.41-4,114.34-322.94-48.23-128.91-57.72-92.38-36.32-62.26-49.81-115.77-543.16
-0.6429.747.38-21.30-54.68-75.35-43.49-102.52-49.30-65.60-32.61-50.05-36.24-68.02-29.97
-0.7335.0917.32-31.55-81.65-96.93-47.68-126.06-57.09-82.44-35.81-60.92-48.66-109.97-237.25
4.804.551.810.530.101.003.242.314.873.827.096.286.464.511.17
0.780.422.52-0.91-1.68-2.11-1.47-2.78-2.82-2.80-2.99-2.57-3.77-6.23-8.32
0.760.382.46-0.88-1.99-2.17-1.49-2.98-3.03-2.87-3.07-2.74-3.86-6.28-8.41

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
13.2314.1815.2013.8115.4017.789.076.113.822.772.021.751.612.853.913.754.354.996.633.934.944.305.274.586.298.8710.8510.6515.2911.927.244.473.855.216.976.9511.374.464.976.285.917.9611.3711.885.126.206.346.745.266.564.274.585.516.294.875.352.392.072.002.644.284.882.70
0.250.260.270.260.270.280.280.300.310.340.430.500.770.730.640.750.720.760.940.960.820.940.800.620.510.430.37----------0.100.110.09--------------------0.460.380.42
0.330.350.360.360.370.380.390.440.440.520.770.993.262.641.803.062.593.0815.1921.544.5416.684.071.601.030.760.60----------0.130.130.10--------------------0.860.610.74
83.7783.7678.4184.3780.9777.5368.6558.0063.4367.4964.9462.0644.5071.8770.4579.2469.9563.7678.4477.2363.8474.2168.8269.44-168.79-312.84-24.24100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
12.507.04-34.99-15.277.36-5.65-64.4634.2236.6050.0026.9941.3814.8417.3834.23-60.84-103.06-874.78-176.87-259.12-289.64-469.47-655.71-713.82-2,662.36-3,042.03-23,220.60-132,576.20-42,247.17-19,353.34-17,197.30-264.96-21,504.94-1,105.18-2,897.45-3,933.72-2,394.02-1,498.97-4,218.82-984.32-1,361.57-815.42-399.29-456.34-531.88-502.62-1,001.39-1,107.53-594.89-545.79-674.38-41.43-1,262.35-138.89-1,027.92-884.20-57.95-742.67-107.27-530.56-369.2218.0522.45
12.507.04-34.99-15.277.36-5.65-64.4634.2236.6050.0026.9941.3814.8417.3834.23-60.84-103.06-874.78-176.87-259.12-289.64-469.47-655.71-713.82-2,662.36-3,042.03-23,220.60-132,576.20-42,247.17-19,353.34-17,197.30-264.96-21,504.94-1,105.18-2,897.45-3,933.72-2,394.02-1,498.97-4,218.82-984.32-1,361.57-815.42-399.29-456.34-531.88-502.62-1,001.39-1,107.53-594.89-545.79-674.38-41.43-1,262.35-138.89-1,027.92-884.20-57.95-742.67-107.27-530.56-369.2218.0522.45
---------------------------------------------------------------
24.5820.20-22.641.7920.356.98-50.5436.8438.2150.4528.8351.56-26.268.481.07-79.1232.81-1,933.25-115.35-347.74-316.40-514.55-687.20-751.58-2,773.99-3,145.46-23,610.91-130,576.20-41,750.94-19,350.48-17,085.81-298.15-21,416.05-1,095.05-2,868.68-3,921.46-2,535.69-1,522.00-4,181.34-978.74-1,349.89-812.89-395.65-458.59-535.53-506.01-998.80-1,137.49-619.03-562.97-702.34-37.34-1,297.19-146.31-1,058.83-856.28-42.91-1,278.14-110.07-531.75-369.0519.6921.15
21.8215.43-17.170.3920.565.69-51.8536.6338.0450.2028.7148.81-26.268.481.07-77.2430.07-1,933.25-115.35-347.74-347.29-514.55-687.20-751.58-2,773.99-3,145.46-23,610.91-130,576.20-41,750.94-19,350.48-17,085.81-298.15-21,416.05-1,095.05-2,868.68-3,921.46-2,535.69-1,522.00-4,181.34-978.74-1,349.89-812.89-395.65-756.06-535.53-506.01-998.80-1,137.49-619.03-562.97-702.34-37.34-1,297.19-146.31-1,058.83-856.28-42.91-1,278.14-110.07-1,382.82-327.6825.8826.37
0.080.070.050.060.070.060.050.190.170.250.110.190.120.080.170.060.040.010.040.040.040.030.020.030.010.000.000.000.000.000.000.070.000.020.010.000.010.010.010.020.020.020.020.010.030.030.020.010.020.020.020.090.020.100.030.020.190.030.190.040.050.230.25
0.210.190.180.160.270.260.261.300.601.130.511.210.890.170.360.060.070.020.050.060.100.060.070.090.321.010.37------------------------------------
1.071.181.101.251.481.330.451.251.281.470.831.480.540.500.990.860.382.951.341.191.201.091.001.440.970.960.220.020.070.130.105.430.071.420.810.491.022.360.693.133.042.362.021.751.361.681.351.800.782.091.711.201.506.381.551.769.281.627.242.452.4510.466.50
84.0276.3881.7972.0960.6867.7520171.9670.3561.1510860.8216718190.7110423530.4667.0575.6675.0882.2090.2862.6992.8393.594163,6601,33069489116.561,27263.3811118388.1138.1513028.7429.6238.1544.5151.4366.3953.7366.7850.0811543.0652.6675.0460.0314.1058.1651.019.7055.4112.4336.8036.738.6113.86
2.581.77-1.410.042.360.59-4.3211.6612.7530.4511.4344.87-42.075.360.89-26.356.35-88.48-106.52-443.38-85.45-403.41-91.92-63.38-41.78-30.04-23.48-13.74-10.82-14.46-25.96-24.37-32.04-20.89-16.43-14.36-14.26-31.65-34.92-22.18-24.53-16.44-7.96-7.01-21.65-20.27-21.27-17.89-13.68-10.44-18.68-4.27-42.04-23.21-50.60-29.02-21.54-218.64511-182.56-61.0912.7120.09
2.591.78-1.410.042.370.60-4.3311.7012.7930.5911.5145.30-43.475.510.91-27.436.56-91.79-131.73-991.00-103.63-3,260.58-125.50-81.23-50.16-34.98-26.88-13.90-10.94-14.68-26.51-24.92-32.68-21.21-16.65-14.52-14.41-32.56-35.89-22.69-25.02-16.73-8.08-7.11-22.44-20.87-21.80-18.28-13.94-10.61-19.22-4.37-44.90-24.44-54.11-30.55-24.56-288.49179-417.95-78.2115.2325.51
1.661.12-0.880.021.470.37-2.516.876.3912.593.269.60-3.090.690.18-4.381.25-15.66-4.86-13.17-11.12-15.99-13.38-18.95-17.14-14.95-13.19-12.53-10.16-13.37-22.96-19.82-24.91-17.29-14.25-12.40-12.61-21.55-23.37-16.12-20.30-14.28-7.15-6.38-17.09-16.50-17.41-14.70-10.79-8.59-13.68-3.18-23.53-14.29-28.19-17.95-8.09-39.07-20.74-23.06-17.374.525.24
1.941.31-1.040.031.730.43-3.108.118.8420.006.4722.53-9.881.470.32-6.491.77-21.68-6.58-19.67-15.44-22.81-18.13-24.38-20.54-17.07-14.69-13.74-10.82-14.46-25.96-24.37-32.04-20.89-16.43-14.36-14.26-28.60-31.22-20.25-24.53-16.44-7.96-7.01-21.65-20.27-21.27-17.89-13.68-10.44-18.68-4.27-42.04-23.21-50.60-29.02-21.54-218.64511-182.56-32.927.8911.57
5.194.914.734.804.684.484.394.553.923.342.281.810.560.730.870.530.630.530.140.100.470.160.661.001.552.102.663.243.372.572.142.312.813.604.274.875.502.462.603.824.625.736.617.093.954.635.356.287.308.145.646.462.883.713.154.512.631.48-0.331.174.256.165.10
0.09-0.04-0.130.780.560.370.220.420.18-0.23-0.342.521.841.250.34-0.91-0.68-0.50-0.31-1.68-1.31-1.17-0.63-2.11-1.56-1.02-0.48-1.47-1.04-0.86-0.60-2.78-2.10-1.37-0.71-2.82-1.94-1.63-0.89-2.80-2.16-1.29-0.43-2.99-2.56-1.89-1.03-2.57-2.04-1.42-0.53-3.77-3.37-2.47-1.68-6.23-3.86-2.60-1.38-8.32-6.04-3.85-2.02
0.07-0.05-0.130.760.550.350.210.380.15-0.25-0.352.461.791.230.32-0.88-0.69-0.53-0.34-1.99-1.58-1.35-0.69-2.17-1.60-1.05-0.50-1.49-1.04-0.86-0.61-2.98-2.27-1.49-0.77-3.03-2.05-1.68-0.91-2.87-2.21-1.32-0.44-3.07-2.63-1.94-1.06-2.74-2.13-1.51-0.59-3.86-3.42-2.51-1.70-6.28-3.87-2.60-1.31-8.41-6.15-3.87-1.91