Evoke Pharma Financial Ratios for Analysis 2011-2024 | EVOK

Fifteen years of historical annual and quarterly financial ratios and margins for Evoke Pharma (EVOK).

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
2023202220212020201920182017201620152014201320122011
2.257.097.511.233.103.463.826.585.198.2410.690.202.71
2.070.550.582.80----0.550.310.07-2.16-
-1.941.221.41-1.59----1.260.470.14-0.68-
96.1085.2479.72-276.68---------
-143.44-310.37-503.79-56,678.32---------
-143.44-310.37-503.79-56,678.32---------
-143.44-310.37-503.79-56,678.32---------
-150.41-327.83-527.66-57,144.53---------
-150.41-327.83-527.66-57,144.53---------
0.730.210.150.00---------
0.421.281.770.37---------
7.704.015.480.99---------
47.4290.9166.59370---------
302-201.34-240.16409-162.67-187.96-564.68-283.78-349.83-144.17-13.3910.2613.60
302-201.34-240.16409-162.67-187.96-564.68-283.78-349.83-144.17-13.39141-420.65
-110.24-69.39-80.75-139.44-111.41-133.68-153.99-115.65-127.16-86.97-11.35-1,739.05-265.23
-321.93-90.53-99.80-736.80-162.67-187.96-564.68-283.78-157.46-98.97-12.50444-420.65
-9.2614.6715.68-17.4025.8433.2920.2544.2069.33217501-166.2866.18
-17.90-25.19-55.29-37.48-37.24-60.58-84.02-134.39-233.21-274.74-185.03-224.36-378.01
-17.90-25.19-55.29-37.48-37.24-60.58-84.02-134.39-233.21-274.74-185.03-224.36-378.01

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302011-12-31
1.281.390.713.504.295.937.097.0610.656.657.518.342.803.071.231.011.232.643.103.395.883.313.464.355.234.673.824.067.0013.056.5810.690.752.825.195.823.325.038.247.909.227.4810.699.000.61-----
---1.210.900.700.550.470.410.720.580.510.460.392.8026.111.23----------------0.830.550.450.420.360.31--0.060.070.0928.31-----
1.881.43-1.94-5.729.292.351.220.900.702.591.411.050.840.64-1.59-1.09-5.63----------------2.885.801.260.821.010.680.47--0.140.140.15-1.36-----
98.3794.6796.4897.7794.9393.7676.1389.2185.3294.5662.0993.7271.1628.39------------------------------------
-47.96-86.50-112.64-102.60-157.72-265.93-214.70-229.85-457.48-490.27-429.14-198.27-916.60-2,864.88------------------------------------
-47.96-86.50-112.64-102.60-157.72-265.93-214.70-229.85-457.48-490.27-429.14-198.27-916.60-2,864.88------------------------------------
--------------------------------------------------
-49.67-91.03-118.58-108.39-165.10-276.78-226.43-242.02-483.63-519.54-463.81-211.67-968.01-2,881.52------------------------------------
-49.67-91.03-118.58-108.39-165.10-276.78-226.43-242.02-483.63-519.54-463.81-211.67-968.01-2,881.52------------------------------------
0.210.140.240.200.130.080.070.060.030.050.030.080.010.00------------------------------------
0.080.160.120.070.110.140.660.410.250.080.740.260.290.27------------------------------------
1.271.202.491.271.111.181.271.231.261.001.224.191.190.71------------------------------------
70.6675.2936.1471.0681.4476.3370.6173.0071.2690.1173.6821.4975.46127------------------------------------
-47.55-45.1777.04194-346.95-105.50-44.15-36.40-31.06-112.39-47.04-41.26-38.40-33.3670.551111,865-61.28-32.38-31.47-33.31-63.90-43.74-28.10-42.97-45.17-14.24-254.56-24.02-63.68-40.32-64.33195-425.98-75.73-51.54-75.17-54.73-31.78-32.72-23.38-16.02-7.63-2.531.18-----
-47.55-45.1777.04194-346.96-105.50-44.15-36.40-31.06-112.39-47.04-41.26-38.40-33.3670.551111,865-61.28-32.38-31.47-33.31-63.90-43.74-28.10-42.97-45.17-14.24-254.56-24.02-63.68-40.32-64.33195-425.98-75.73-51.54-75.17-54.73-31.78-32.72-23.38-16.02-7.63-2.5311.10-----
-10.44-12.69-28.12-21.57-20.80-22.34-15.22-15.02-15.50-24.08-15.82-16.91-13.05-13.50-24.04-31.54-84.28-38.60-22.18-22.22-27.70-45.05-31.11-21.65-34.76-35.50-3.88-48.73-12.36-34.05-16.43-27.98-64.07-46.93-27.53-23.41-30.55-27.90-19.17-28.57-20.84-13.10-6.47-2.05-13.38-----
-47.55-45.1777.04-41.05-33.73-31.48-19.85-19.12-18.32-31.35-19.55-20.15-20.89-20.34-127.02-2,780.05-428.41-61.28-32.38-31.47-33.31-63.90-43.74-28.10-42.97-45.17-14.24-254.56-24.02-63.68-40.32-64.33195-72.68-34.09-28.27-43.72-34.78-21.81-32.72-23.38-15.07-7.12-2.30-303.05-----
3.634.88-9.25-3.141.937.6414.6719.8725.828.4715.6821.0726.5034.78-17.40-10.53-2.0717.2225.8430.7737.9324.7933.2944.7245.7140.3420.2519.2663.4074.3044.2054.88-30.1815.0869.3310898.54150217276358436501479-250.64-----
-2.49-3.41-17.90-13.93-10.17-5.86-25.19-14.69-11.37-7.10-55.29-45.84-19.85-13.66-37.48-27.11-17.92-9.15-37.24-27.56-22.03-15.88-60.58-48.20-40.18-26.32-84.02-56.17-35.35-17.97-134.39-99.63-98.24-54.09-233.21-178.47-128.49-70.71-274.74-213.77-121.17-48.03-185.03-139.39-111.07-56.790.00-140.420.000.00
-2.49-3.41-17.90-13.93-10.17-5.86-25.19-14.69-11.37-7.10-55.29-45.84-19.85-13.66-37.48-27.11-17.92-9.15-37.24-27.56-22.03-15.88-60.58-48.20-40.18-26.32-84.02-56.17-35.35-17.97-134.39-99.63-98.24-54.09-233.21-178.47-128.49-70.71-274.74-213.77-121.17-48.03-185.03-139.39-111.07-56.79--140.42--