Fortress Biotech Financial Ratios for Analysis 2009-2024 | FBIO

Fifteen years of historical annual and quarterly financial ratios and margins for Fortress Biotech (FBIO).

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
1.381.803.435.143.432.002.561.949.4517.288.927.916.699.57-
0.970.650.170.230.530.750.290.240.220.170.080.360.04--
40.242.070.230.331.244.030.520.340.280.200.160.640.04--
68.4559.3753.3667.9971.2577.2278.7995.21100.00------
-168.43-268.76-274.08-206.74-302.54-446.38-520.71-398.73-5,855.27------
-168.43-268.76-274.08-206.74-302.54-446.38-520.71-398.73-5,855.27------
-155.28-253.68-258.52-182.73-280.77-429.73-495.19-382.01-5,815.88------
-181.79-281.83-238.92-225.55-277.54-486.57-565.46-432.59-6,243.69------
-81.25-124.91-94.06-102.03-109.09-313.02-387.80-334.31-5,611.59------
0.500.260.170.140.160.190.070.100.01------
2.612.173.2510.3912.299.0321.393.89-------
5.492.672.891.852.543.542.061.905.53------
66.4613712619714410317719265.98------
-9,731.85-427.64-72.97-52.28-140.16-662.55-80.92-85.92-63.94-28.91-45.72-125.31-190.0562.79-
824-937.06-77.27-56.47-156.03-713.74-81.52-151.96-64.90-28.91-45.72-125.31-190.05-74.60-
-92.02-72.69-41.57-30.89-44.90-92.77-39.65-41.76-45.43-22.82-36.94-67.35-155.55-66.82-
-246.87-149.42-60.50-40.10-65.60-163.16-57.44-65.31-50.15-24.12-42.08-80.22-182.88-74.60-
0.116.7933.3931.1314.695.1235.4325.4226.8022.7430.7313.5415.4241.87-
-15.81-30.28-21.39-17.42-26.02-34.10-29.26-17.19-7.80-6.74-14.61-16.06-21.43-19.11-9.76
-15.45-30.77-24.31-18.67-27.94-36.91-30.70-21.00-11.91-6.74-14.63-16.10-28.95-19.15-9.76

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-03-312009-12-31
1.371.331.381.000.991.561.802.432.853.313.432.924.545.915.146.383.513.073.433.554.492.792.002.252.762.522.562.693.562.881.942.555.347.789.457.8812.4211.7417.2820.2622.2518.578.9211.057.617.317.9110.759.804.706.697.26------
1.281.070.971.411.520.820.650.480.380.310.170.180.190.190.230.230.350.480.530.480.450.590.750.430.430.410.290.290.210.180.240.270.270.230.220.300.300.290.170.170.160.160.080.090.170.290.360.330.020.050.040.03------
-4.80-16.3640.24-3.68-3.084.882.071.000.660.500.230.290.250.260.330.290.741.131.241.120.931.634.031.000.870.800.520.520.310.260.340.370.370.290.280.420.420.400.200.200.190.190.160.170.300.530.640.480.020.060.040.03------
56.0947.6969.8481.5055.3348.1152.9556.3159.5865.7147.8847.0458.0666.2768.8664.3466.9770.5168.0172.3574.2170.9182.4472.8275.5275.0610198.9298.2798.9596.6395.7985.47100.00100.00100.00-100.00--------------------
-186.55-280.63-98.33-39.59-288.19-473.63-333.05-306.96-269.65-197.58-359.73-236.77-240.19-259.06-176.76-243.20-268.54-166.65-272.96-230.66-273.41-503.44-358.38-545.23-372.68-578.8913.15-69.54-45.73-39.32-152.49-1,666.26-678.74-2,286.52-3,735.50-72,288.00--2,414.20--------------------
-186.55-280.63-98.33-39.59-288.19-473.63-333.05-306.96-269.65-197.58-359.73-236.77-240.19-259.06-176.76-243.20-268.54-166.65-272.96-230.66-273.41-503.44-358.38-545.23-372.68-578.8913.15-69.55-45.72-39.31-152.50-1,666.26-678.74-2,286.52-3,735.50-72,288.00--2,414.20--------------------
----------------------------------------------------------
-193.50-299.49-143.41-30.45-341.08-443.68-347.45-321.03-285.56-206.80-372.26-217.51-136.70-224.96-148.04-316.24-300.97-186.31-296.09-255.53-297.08-250.96-385.20-603.71-422.52-612.2618.95-77.44-45.27-32.59-168.86-1,739.08-734.93-2,521.67-4,460.06-79,419.99--2,507.00--------------------
-89.55-136.08-55.92-20.30-154.82-189.44-188.76-148.35-123.71-65.87-172.71-98.56-19.81-76.14-38.51-164.08-140.78-95.76-139.19-130.60-141.6021.49-276.72-321.63-317.11-356.068.33-57.83-34.25-26.82-138.18-1,331.39-559.55-1,849.24-3,560.95-72,643.99--2,411.20--------------------
0.100.080.120.230.100.050.060.050.050.060.050.050.040.030.040.030.040.060.050.040.040.030.060.020.030.02-0.510.190.200.210.070.010.020.010.000.00-0.01--------------------
0.680.640.590.580.640.490.550.470.480.510.970.960.521.713.053.212.584.954.152.873.263.002.332.095.586.6310.561.592.942.302.090.333.24-------------------------
1.391.291.304.261.020.440.580.580.650.750.770.650.660.570.560.570.780.740.771.531.870.641.180.270.360.31-14.932.975.546.581.450.120.630.502.17-----------------------
64.5869.9269.4421.1288.0520515615613812011714013615816215811512211658.7648.2014176.01336252294-6.0330.2716.2513.6761.9975314317941.54-----------------------
197990-1,829.7880.96372-278.47-114.84-52.35-36.51-25.56-30.33-21.59-9.82-10.67-10.40-17.01-24.36-31.97-45.44-33.29-30.59-32.06-175.43-36.90-29.91-33.61-19.66-29.94-15.24-11.53-25.68-22.66-28.15-23.47-17.89-36.15-11.63-20.83-5.26-6.63-6.51-9.76-12.05-8.95-21.97-33.14-39.32-20.38-19.09-48.74-35.127.54------
86.6716715531.22157872-251.64-72.76-45.60-30.33-32.11-23.00-10.40-11.34-11.24-18.15-25.83-35.26-50.58-37.12-30.93-32.82-188.98-59.99-44.99-48.51-19.81-41.91-19.88-16.07-45.41-32.89-28.94-23.96-18.16-36.99-11.89-21.27-5.27-6.63-6.51-9.76-12.05-8.95-21.97-33.14-39.32-20.38-19.09-48.74-35.12-15.05------
-19.79-23.70-17.30-7.12-32.81-20.92-19.52-16.40-14.82-12.13-17.28-11.25-5.83-6.67-6.15-10.13-10.60-10.52-14.55-11.27-12.09-8.11-24.56-13.89-12.16-13.63-9.63-14.81-9.19-6.87-12.48-11.66-16.71-15.86-12.71-22.86-7.67-13.86-4.16-5.22-5.18-7.77-9.74-7.31-15.51-19.49-21.14-12.34-16.77-36.34-28.74-12.56------
-55.00-67.89-46.42-32.95-192.04-49.57-40.12-27.37-22.74-17.52-25.15-17.74-7.95-8.64-7.98-13.17-15.72-16.47-21.27-17.40-16.74-13.08-43.20-20.93-16.97-19.97-13.96-21.12-11.99-9.45-19.52-16.58-20.48-18.16-14.03-25.39-8.18-14.89-4.39-5.51-5.45-8.23-11.10-8.17-18.30-23.43-25.17-13.73-18.67-46.17-33.79-14.56------
-0.65-0.200.11-1.48-1.822.286.7914.0420.5627.3033.3932.2738.1837.6531.1328.1720.3514.3714.6915.9923.2812.045.1222.5926.7330.6035.4335.9444.7537.6425.4222.9617.9321.9126.8017.4717.6719.2722.7423.4324.4925.5830.7337.2224.5915.3113.5417.9220.8010.8415.42-------
-2.58-1.48-15.81-12.44-10.37-6.36-30.28-22.07-14.92-8.15-21.39-14.35-10.40-4.02-17.42-12.45-8.60-5.17-26.02-18.43-14.97-5.95-34.10-25.65-17.95-9.82-29.26-22.25-13.07-4.26-17.19-10.40-7.15-4.40-7.80-5.07-3.09-0.74-6.74-5.33-4.20-2.54-14.61-10.34-8.16-4.46-16.06-9.90-8.93-4.37-12.72-15.55-11.17-5.580.000.000.000.00
-2.58-1.48-15.45-12.04-10.65-6.36-30.77-22.49-15.19-8.38-24.31-16.64-11.30-4.11-18.67-13.36-9.22-5.29-27.94-19.04-15.24-6.02-36.91-28.27-19.57-10.11-30.70-22.98-13.49-4.61-21.00-13.71-9.56-5.28-11.91-8.88-6.42-3.43-6.74-5.33-4.20-2.54-14.63-10.43-8.30-4.46-16.10-9.90-8.93-4.37-17.19-23.75-21.02-17.50----