Indivior Financial Ratios for Analysis 2011-2024 | INDV

Fifteen years of historical annual and quarterly financial ratios and margins for Indivior (INDV).

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
0.971.241.801.981.831.621.430.961.201.220.510.881.08
1.000.820.540.740.530.781.743.121.962.95---
-4.711.192.851.133.65-2.37-1.81-2.17-1.55---
82.9882.3583.9485.0182.1787.2690.4889.8990.4391.4891.4592.9893.54
-0.37-9.4326.93-24.1122.6829.0517.6614.0834.1250.4057.1566.0269.54
-0.37-9.4326.93-24.1122.6829.0517.6614.0834.1250.4057.1566.0269.54
2.20-7.1029.71-20.0926.2433.0318.8515.4137.2852.7459.4668.0471.53
0.09-10.5424.02-26.7422.9327.6612.539.2628.1150.3157.1566.0269.54
0.18-5.8825.92-22.8717.0727.365.313.3122.4936.1440.2145.3348.96
0.560.510.430.420.480.650.760.881.081.492.852.402.24
1.311.391.341.041.921.642.002.612.022.322.892.762.53
4.304.003.683.484.093.073.534.124.925.786.574.624.32
84.8291.1599.2110589.2711910488.6674.1563.1855.5379.0584.41
--103.92101-180.4964.11417-28.57-11.86-81.72-84.84-740.91419242
-0.84279169-740.0097.81-1,527.78-19.66-9.26-66.86-71.20-305.632,168516
0.10-3.0011.19-9.678.1117.784.022.9024.3353.95115109110
0.85-18.4046.38-47.4430.3290.7621.1725.1878.08165-740.91419242
-0.371.450.561.430.45-1.41-2.05-1.94-3.31-0.46--
-2.22-0.032.32-1.251.002.022.052.742.183.045.460.000.00
-3.15-0.062.30-1.280.951.941.842.602.003.045.44--

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302013-12-312012-12-312011-12-31
0.830.850.920.970.981.131.081.241.701.701.731.801.852.041.931.981.821.721.751.832.091.971.791.621.411.501.561.431.071.041.060.960.931.251.241.201.151.08-------
3.462.060.961.001.110.670.770.820.510.510.510.540.600.510.580.740.740.800.860.530.480.530.640.780.871.101.271.741.281.612.003.124.501.501.741.962.212.61-------
-1.43-1.9723.80--9.962.043.324.711.061.041.041.191.501.041.422.852.944.076.051.130.941.171.803.656.85-11.09-4.78-2.37-6.35-3.62-2.48-1.81-1.43-3.30-2.58-2.17-2.38-2.10-------
77.5268.9083.8082.5983.0381.8884.5981.7482.7682.8182.1382.5186.1085.0782.2287.5779.2588.0084.9768.4282.9187.4484.4585.6585.7186.9490.5987.5590.1891.3292.8389.1590.6787.9691.8689.9290.3690.9890.44-90.7491.13---
1.30-44.1522.8920.82-67.5322.1022.53-107.0524.1428.5126.0920.1820.3236.3231.67-5.4111.3216.67-123.53-31.5828.6440.9331.518.8628.9831.3445.49-43.4022.9140.6348.3027.91-45.1535.4039.1515.3231.3343.2345.82-48.5255.29---
1.30-44.1522.8920.82-67.5322.1022.53-107.0524.1428.5126.0920.1820.3236.3231.67-5.4111.3216.67-123.53-31.5828.6440.9331.518.8628.9831.3445.49-43.4022.9140.6348.3027.91-45.1535.4039.1515.3231.3343.2345.82-48.5255.29---
---------------------------------------------
-0.33-45.1522.1821.16-66.7922.4622.92-105.8123.2826.2423.1917.9416.5832.8429.44-8.118.1813.33-124.84-31.5828.1441.4032.358.8627.7629.1043.53-51.7019.6435.7644.1522.87-49.6331.3933.3310.0824.9036.0940.64-48.5255.29---
1.30-35.7916.5518.43-49.8214.1317.39-75.9317.6721.7219.8116.1414.4430.8544.44-7.036.2912.00-106.54-41.3524.1234.8827.739.7036.3326.1236.47-54.7218.1825.3530.1929.85-55.6020.8019.3814.9219.2824.8130.68-34.4438.91---
0.210.190.200.150.150.160.140.140.140.130.120.120.110.120.110.120.100.100.100.080.130.140.150.150.160.170.170.180.200.220.220.210.250.260.250.260.250.28-------
0.390.540.280.360.320.380.320.390.380.380.410.410.270.320.350.250.380.200.300.580.450.390.520.440.460.490.350.630.530.510.400.680.520.700.440.520.450.48-------
1.131.061.101.151.041.151.031.071.081.041.001.041.071.130.870.990.850.830.870.690.991.001.050.720.770.860.870.850.991.061.031.001.111.111.071.201.271.39-------
79.4584.5881.7678.0286.6878.2687.5184.0283.4186.3390.4386.7784.2279.7010490.4910610810313090.9089.5885.4612411610410310590.6585.0087.6289.6581.2781.1384.0774.7670.8464.96-------
-2.4088.43470-56333.3361.11-358.8218.0620.8717.6717.7316.7726.6148.78-19.5112.5036.21-417.95-26.3219.0536.5949.6234.85185-162.79-92.0871.43-67.57-54.89-37.91-26.1039.01-34.13-21.74-13.26-16.61-19.76-------
-1.1231.56-21.36-23.0855.79-47.56-34.3896325.6330.5726.6229.7535.0642.7676.92-80.0055.56-420.00604-40.1526.8258.59129-127.78-139.06-46.36-44.7149.15-29.76-33.95-27.30-20.3734.65-26.39-17.54-10.85-13.11-15.75-------
0.27-6.973.232.77-7.292.252.51-10.342.452.792.381.971.593.714.97-1.050.651.35-10.78-3.333.024.784.111.495.724.426.20-10.043.665.496.536.37-13.685.314.893.954.916.89-------
5.88-93.8619.1822.88-63.6811.0514.29-63.548.8410.288.728.146.7513.1420.36-5.133.227.24-60.15-12.449.8817.0517.897.5923.9216.3224.67-52.9218.7333.3337.7455.40-136.7016.9116.0312.6720.0831.88-------
-1.29-0.900.07--0.170.850.520.371.651.651.641.451.111.591.120.560.550.400.271.431.721.400.910.450.33-0.30-0.69-1.41-0.51-0.92-1.46-2.05-2.65-1.16-1.60-1.94-2.01-2.32-------
0.310.24-0.40-2.22-0.25-0.39-0.26-0.030.10-0.33-0.512.321.221.030.57-1.25-0.61-1.01-0.941.000.690.480.892.021.430.670.172.051.561.240.402.741.881.230.662.181.871.501.140.002.862.010.000.000.00
0.210.20-0.41-3.15-1.18-1.27-1.14-0.060.07-0.34-0.512.301.211.020.57-1.28-0.62-1.01-0.940.950.680.470.881.941.380.630.151.841.401.140.352.601.731.140.642.001.791.451.14-2.852.00---