Ekso Bionics Holdings Financial Ratios for Analysis 2011-2024 | EKSO

Fifteen years of historical annual and quarterly financial ratios and margins for Ekso Bionics Holdings (EKSO).

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
202320222021202020192018201720162015201420132013201220122011
2.493.376.973.702.401.483.813.272.924.430.27----
0.280.130.050.410.060.490.180.51---0.110.38--0.92
0.480.240.050.690.401.830.331.040.010.00-0.840.62---
49.6748.1360.0157.0848.6038.0328.1420.7213.6129.2717.78-13.67--
-82.67-120.48-122.96-149.64-119.56-238.53-429.92-193.98-248.94-315.26-311.75--526.27--
-82.67-120.48-122.96-149.64-119.56-238.53-429.92-193.98-248.94-315.26-311.75--526.27--
-73.38-113.61-113.86-140.53-114.14-223.82-403.71-181.19-238.60-298.05-292.88--503.07--
-83.14-116.79-86.82-178.17-87.17-238.19-396.06-165.04-226.19-633.92-359.99--555.88--
-83.14-116.79-86.82-178.17-87.17-238.19-396.06-237.78-279.93-633.92-359.99--555.88--
0.630.320.230.430.640.640.190.580.270.160.50-92.67--
1.821.292.011.932.872.081.757.257.096.063.74----
3.242.792.412.762.673.102.667.994.193.446.01----
11313115113213711813745.6987.1910660.69----
-120.56-59.27-26.23-356.90-178.49-989.44-136.14-359.36-222.41-148.1132.68-81.67---
-208.68-76.18-26.23-356.90-183.60-1,063.10-140.61-441.50-278.46-148.47131-81.67-51,513.70--
-52.56-36.87-19.86-76.83-55.36-152.89-76.66-96.09-60.84-100.88-180.54-42.13-51,513.70--
-87.15-51.63-24.90-210.75-168.41-502.08-111.06-176.20-222.41-148.11145-50.43---
0.851.932.930.531.170.655.354.478.7923.56-44.990.25---
-0.87-1.13-0.91-1.22-3.29-5.43-13.15-20.13-18.75-20.12-45.36-0.22-65.920.000.00
-0.88-1.15-0.91-1.22-3.30-5.46-13.34-21.01-20.28-22.12-47.26-0.22-70.24--

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-31
2.812.422.812.492.852.442.893.374.688.167.226.9710.5010.969.133.704.122.791.862.402.112.371.731.481.952.172.793.816.092.321.893.273.191.622.322.922.092.653.814.431.982.513.360.27--2.07----
0.220.270.250.280.250.160.140.13-0.060.060.050.050.050.050.410.271.05-0.060.130.220.320.490.360.330.220.180.150.781.270.51-----0.000.00--0.02-0.010.00-0.11---0.611.482.020.91
0.360.460.420.480.410.350.290.240.070.060.060.050.050.050.080.690.37-109.890.420.400.510.720.981.830.990.800.450.330.234.22-4.971.040.010.050.010.010.010.010.010.00-0.02-0.010.00-0.84-0.97-1.150.621.56-3.06-1.98-
53.5053.2751.9448.8853.3147.9348.5247.2550.6547.3647.1059.2559.2758.4464.6660.4162.5855.6143.3949.8752.7347.8244.2245.2542.4732.5930.4631.6834.0621.2124.5132.5925.2513.0817.65-9.9816.0523.7523.8637.4330.233.7645.20-16.9036.0730.7916.73----
-63.91-47.17-86.69-71.16-63.62-91.09-107.91-124.92-109.76-93.19-165.06-111.68-91.47-151.42-164.35-133.02-83.57-136.57-325.68-76.32-114.19-156.28-135.84-155.84-238.98-242.16-342.06-323.93-442.45-453.08-566.92-258.29-430.20-476.55-78.27-342.36-177.74-266.56-242.33-328.31-235.01-360.23-366.3899.23-200.53-275.52-453.10----
-63.91-47.17-86.69-71.16-63.62-91.09-107.91-124.92-109.76-93.19-165.06-111.68-91.47-151.42-164.35-133.02-83.57-136.57-325.68-76.32-114.19-156.28-135.84-155.84-238.98-242.16-342.06-323.93-442.45-453.08-566.92-258.29-430.20-476.55-78.27-342.36-177.74-266.56-242.33-328.31-235.01-360.23-366.38-0.77-200.53-275.52-453.10----
---------------------------------------------------
-50.18-48.81-91.29-66.31-73.04-89.94-106.48-89.50-129.29-85.95-179.98-70.24-64.22-57.58-192.15-176.4884.64-519.74-172.62-73.156.21-93.99-181.17-125.27-273.84-268.89-313.78-366.00-396.68-294.97-578.13-215.54-531.20-371.46-43.02-239.06-177.87-267.03-243.64-1,361.827574,689-7,699.25-0.77-227.15-345.53-545.32----
-50.18-48.81-91.29-66.31-73.04-89.94-106.48-89.50-129.29-85.95-179.98-70.24-64.22-57.58-192.15-176.4884.64-519.74-172.62-73.156.21-93.99-181.17-125.27-273.84-268.89-313.78-366.00-396.68-294.97-578.13-215.54-720.18-642.40-79.84-478.64-177.87-267.03-243.64-1,361.827574,689-7,699.25-0.77-227.15-345.53-545.32----
0.140.180.130.170.150.140.110.090.080.090.060.080.060.040.030.110.120.100.090.170.160.130.170.190.110.130.080.060.040.100.090.110.070.110.380.060.130.080.060.040.100.060.050.12--23.86----
0.380.470.350.490.390.440.370.360.470.560.490.740.710.470.310.450.500.420.330.750.470.460.610.540.440.840.620.550.440.780.601.120.620.562.762.022.081.361.531.491.280.900.521.27-------
0.590.760.650.860.780.930.850.770.981.040.770.870.980.800.840.700.650.610.550.710.640.720.950.900.850.840.700.890.740.891.121.450.730.993.560.941.330.881.160.960.830.800.601.44-------
15211913810511596.6810511791.8786.7811710392.1311210712913814916312614112594.4199.9110510812810112210280.3561.9312490.8125.2795.8467.4610277.5394.2010911215062.70-------
-13.93-20.03-24.40-25.50-22.06-23.75-20.62-12.49-15.04-9.39-13.80-7.69-5.01-3.17-8.96-89.6729.1942,027-48.47-40.033.21-56.74-144.49-151.39-124.99-104.62-53.24-41.97-21.35-338.27600-85.38-103.04-369.31-54.06-52.74-56.08-40.51-21.55-88.40-203.04-309.951100.0219,65541,753-25,225.92-15.5621.57108-
-21.19-35.07-38.94-44.13-34.15-34.33-27.93-16.06-15.04-9.39-13.80-7.69-5.01-3.17-8.96-89.6729.195,423-50.29-41.183.31-58.79-150.77-162.66-131.56-110.62-55.29-43.35-21.96-813.44337-104.89-123.28-7,686.69-71.13-66.03-56.08-40.51-21.55-88.61-203.04-309.951100.0719,65541,753-25,225.92-15.5621.57108-
-7.09-8.95-11.84-11.11-10.79-12.45-11.83-7.77-10.95-7.35-10.44-5.82-3.86-2.40-6.50-19.3010.44-52.65-14.96-12.421.02-11.98-31.40-23.39-31.14-34.38-25.52-23.63-14.60-29.09-49.14-22.83-39.21-42.47-16.19-14.43-23.43-20.98-13.70-60.2177.99302-375.06-0.09---13,013.72-5.93-9.84-93.61-
-10.92-14.72-18.39-18.43-16.56-20.04-17.69-10.88-15.04-8.83-13.02-7.30-4.77-3.02-8.49-52.9521.36-1,910.23-48.47-37.772.79-44.19-98.85-76.82-79.48-70.15-41.30-34.24-18.08-73.10-164.01-41.86-103.04-369.31-54.06-52.74-56.08-40.36-21.47-88.40-206.12-311.671100.07---25,225.92-6.09-10.45-109.29-
0.680.650.780.851.071.291.601.932.182.442.612.933.083.173.240.531.010.000.891.171.281.081.010.651.341.883.695.357.420.95-0.954.475.771.436.498.799.4814.3319.6523.56-7.91-24.22-99.71-44.99-0.16-0.130.070.20-0.12-0.100.01
-0.41-0.34-0.20-0.87-0.74-0.52-0.32-1.13-0.84-0.66-0.33-0.91-0.64-0.44-0.19-1.22-0.84-0.92-0.30-3.29-2.86-2.06-1.19-5.43-4.16-3.17-1.68-13.15-11.05-9.91-4.97-20.13-16.22-13.03-6.61-18.75-13.43-8.70-3.95-20.12-15.49-9.53-8.55-0.15-33.67-27.96-12.02-0.06-0.21-0.180.00
-0.42-0.34-0.20-0.88-0.75-0.53-0.32-1.15-0.86-0.66-0.33-0.91-0.64-0.44-0.19-1.22-0.84-0.92-0.30-3.30-2.87-2.07-1.20-5.46-4.17-3.17-1.69-13.34-11.20-10.05-5.06-21.01-16.79-13.58-6.89-20.28-14.42-9.27-4.24-22.12-16.65-10.28-8.93-1.96-33.92-28.44-12.21-4.63-0.21-0.18-