Inogen Financial Ratios for Analysis 2011-2024 | INGN

Fifteen years of historical annual and quarterly financial ratios and margins for Inogen (INGN).

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
2.864.665.355.395.826.756.747.075.224.941.741.93-
---------0.000.090.15-
--------0.000.010.190.31-
40.1440.7049.3044.7947.4849.8748.6047.9847.9649.3351.6849.3048.00
-34.65-22.602.58-3.905.4710.5811.0611.279.479.345.921.71-5.62
-34.65-22.602.58-3.905.4710.5811.0611.279.479.345.921.71-5.62
-28.90-16.368.622.139.2913.7415.9917.9618.2820.0717.2411.974.82
-32.42-22.072.42-1.716.7111.3011.8911.209.268.935.101.20-6.49
-32.46-22.21-1.77-1.895.7914.488.4210.127.294.680.28-10.74-16.42
0.970.930.730.670.810.950.910.950.990.800.921.02-
8.656.565.706.865.336.636.807.369.577.498.586.07-
7.365.8613.889.719.709.027.616.497.225.247.316.91-
49.6262.2626.3037.5837.6240.4647.9356.2650.5769.6649.9252.83-
-50.02-28.17-1.71-1.676.0816.709.2511.278.645.78-40.62-0.70-
-63.97-31.69-2.29-2.358.9517.039.5511.288.665.7945.352.01-
-31.41-20.68-1.29-1.264.6813.797.649.597.184.8730.871.19-
-50.02-28.17-1.71-1.676.0816.709.2511.278.645.7641.231.68-
8.7812.9616.2915.8015.6414.2510.828.936.776.20200105-
-0.14-1.641.051.681.832.662.761.471.840.876.7115.347.44
-0.36-1.790.811.481.682.312.631.391.740.785.207.593.80

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-31
2.662.702.702.863.734.534.474.664.835.325.325.355.605.305.585.395.845.985.435.825.797.357.356.756.495.996.676.746.206.186.987.075.235.105.165.225.014.364.494.944.363.713.991.74-----
------------------------------------0.000.000.000.000.000.050.040.09-----
--------------------------------0.000.000.000.000.000.000.000.010.010.120.090.19-----
46.5448.1544.0537.1040.2140.7142.5933.4640.6144.7543.5550.5151.2249.5645.8746.0444.4145.6843.3642.9847.2049.6949.2350.3551.2349.8547.7248.2248.0549.2349.0448.5546.1748.0449.5049.5447.5147.2947.4747.4549.8449.7350.5151.5748.7554.8551.55--
-8.77-7.96-20.86-38.19-55.64-14.07-30.37-66.40-9.77-2.78-16.90-8.736.8511.49-2.45-7.46-2.65-3.28-2.46-6.748.8312.025.395.5210.9114.4211.018.1412.0713.2510.6112.149.9214.707.628.599.1112.147.464.9212.1413.046.552.764.4811.874.02--
-8.77-7.96-20.86-38.19-55.64-14.07-30.37-66.40-9.77-2.78-16.90-8.736.8511.49-2.45-7.46-2.65-3.28-2.46-6.748.8312.025.395.5210.9114.4211.018.1412.0713.2510.6112.149.9214.707.628.599.1112.147.464.9212.1413.046.552.764.4811.874.02--
-------------------------------------------------
-6.83-6.31-18.88-35.69-53.97-11.70-27.93-64.10-8.95-3.26-17.40-9.026.3711.82-2.74-7.04-2.574.92-1.91-5.379.5413.546.736.7311.8614.0312.259.0812.7714.2911.2011.4710.0114.747.918.209.0212.077.164.5911.8212.426.201.184.1310.114.83--
-6.71-6.30-18.68-34.99-54.45-11.75-28.20-64.26-9.02-3.33-17.68-29.9413.085.02-0.84-6.92-2.293.60-1.80-1.747.4810.055.8811.6117.2415.0313.61-0.9510.6313.0011.3010.349.6413.735.869.546.617.864.663.277.267.52-0.42111-5.45--6.31--
0.290.290.250.230.240.220.190.220.220.220.170.160.180.200.180.160.160.160.190.180.210.250.230.230.270.290.260.230.260.260.230.240.280.300.260.250.260.280.230.210.210.210.170.24-----
2.041.911.772.192.091.611.071.721.751.711.331.191.431.881.781.611.411.081.331.261.422.081.591.591.521.781.801.752.132.041.921.821.782.272.112.362.292.492.282.012.012.502.512.26-----
2.522.391.891.771.721.581.291.372.023.152.272.962.682.612.152.332.142.282.052.122.082.042.052.182.602.422.221.951.901.771.671.631.741.881.661.841.771.641.351.361.631.941.311.92-----
35.6637.6047.5250.8852.3656.9969.5265.7544.5028.5739.6530.3933.5434.5041.8438.6442.1339.4343.9042.5443.2044.0643.9841.2934.5737.1440.6246.2247.3250.9553.9855.3351.8147.9454.2449.0250.8855.0166.5166.3955.3046.3368.8746.99-----
-3.22-2.98-7.60-12.97-19.82-3.58-7.23-19.03-2.71-0.97-3.97-6.183.111.38-0.21-1.46-0.480.73-0.46-0.402.003.041.653.245.645.474.37-0.273.324.013.082.893.365.081.822.882.082.701.281.291.872.060.82-35.09-----
-4.22-3.88-9.77-16.58-24.49-4.06-8.19-21.41-3.59-1.28-5.32-8.264.121.87-0.29-2.07-0.681.05-0.66-0.592.983.091.683.305.775.614.49-0.283.384.093.082.893.375.091.832.882.082.711.291.291.882.070.8339.18-----
-1.95-1.81-4.62-8.14-13.30-2.62-5.28-13.98-2.02-0.73-2.99-4.672.371.02-0.15-1.11-0.370.56-0.35-0.311.542.521.372.674.604.393.59-0.222.723.322.612.462.694.101.502.391.712.201.061.081.561.570.6626.66-----
-3.22-2.98-7.60-12.97-19.82-3.58-7.23-19.03-2.71-0.97-3.97-6.183.111.38-0.21-1.46-0.480.73-0.46-0.402.003.041.653.245.645.474.37-0.273.324.013.082.893.365.081.822.882.072.701.281.281.871.950.7935.62-----
7.787.918.158.789.9011.8512.1712.9615.3115.5915.6916.2917.2016.4315.9215.8015.9415.9115.7515.6415.6015.2214.6814.2513.5512.5211.6110.8210.6110.039.388.937.717.356.956.776.636.616.366.206.186.085.94200-----
0.380.08-0.20-0.140.00-0.10-0.27-1.64-0.96-0.55-0.801.050.750.880.131.680.950.630.021.831.410.74-0.082.662.101.480.552.762.161.380.611.471.220.800.231.841.230.670.290.870.560.41-0.140.6041.4425.109.900.000.00
0.250.02-0.26-0.36-0.17-0.23-0.32-1.79-1.08-0.65-0.860.810.540.720.061.480.790.53-0.041.681.300.65-0.122.311.781.280.462.632.061.330.581.391.150.740.201.740.760.290.270.780.510.38-0.160.4632.1520.138.41--