Inovio Pharmaceuticals Financial Ratios for Analysis 2009-2024 | INO

Fifteen years of historical annual and quarterly financial ratios and margins for Inovio Pharmaceuticals (INO).

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
3.603.256.8211.302.942.493.912.845.467.022.031.912.893.552.30
-0.070.040.040.93----------
0.140.070.040.0414.25---------0.20
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
-17,300.28-2,607.35-16,972.34-1,674.25-2,702.10-308.68-198.11-215.55-84.50-377.71-145.12-570.42-220.91-312.79-153.04
-17,300.28-2,607.35-16,972.34-1,674.25-2,702.10-308.68-198.11-215.55-84.50-377.71-145.12-570.42-220.91-312.79-153.04
-15,940.29-2,566.67-16,613.75-1,611.80-2,567.90-292.05-189.14-206.07-78.91-362.18-129.54-521.98-200.37-278.48-134.66
-16,239.87-2,705.57-17,085.39-2,197.89-2,938.02-311.00-208.92-208.49-76.90-345.61-490.69-478.63-156.24-287.06-268.19
-16,239.87-2,726.67-17,109.87-2,245.40-2,902.75-318.12-208.92-208.49-71.94-345.44-490.29-477.56-155.72-286.65-267.67
0.000.030.000.010.030.230.230.200.190.080.150.090.160.110.11
---------------
0.350.870.220.392.027.526.512.135.533.734.084.7519.3558.5028.67
1,0554171,65293918048.5656.1117165.9797.8889.4876.8118.876.2412.73
-115.14-125.84-75.98-36.32-2,230.42-111.42-61.90-59.77-16.54-32.40-124.92-56.55-31.98-37.45-39.98
-115.14-133.42-78.56-37.431,370-135.13-70.02-70.07-17.97-37.39-178.26-114.25-53.82-68.35-64.19
-79.04-80.28-61.23-31.03-83.74-73.96-47.11-42.45-13.61-27.42-74.85-43.67-25.04-31.46-30.34
-115.14-117.09-73.24-34.91-146.25-111.42-61.90-59.77-16.54-32.40-124.92-56.55-31.98-37.45-39.98
5.1510.5422.0729.630.6410.7518.9320.0029.2522.0412.0811.6017.0321.5328.60
-5.61-10.87-12.40-13.77-11.90-9.54-9.26-10.26-2.18-6.03-4.01-7.85-7.51-5.55-9.05
-5.34-10.92-12.47-13.89-12.02-9.81-10.77-10.71-2.67-6.31-4.05-7.93-7.58-5.62-9.08

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
3.884.454.773.604.003.914.243.253.693.186.746.829.4910.4814.1711.309.1410.068.532.945.064.594.922.493.343.592.413.914.633.902.672.843.394.174.815.4610.0711.1710.707.0211.729.737.782.032.831.341.901.911.502.082.072.893.373.883.003.554.654.822.442.302.281.210.82
-------0.070.060.050.040.040.030.030.020.040.140.300.290.930.660.530.43----------------------------------------
---0.140.120.100.080.070.060.060.050.040.030.030.020.040.170.430.4114.251.941.110.75----------------------------------0.020.200.200.180.320.76
-100.00-100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
--32,945.87--26,686.55-9,152.63-16,391.97-38,238.24-44,876.74-390.61-13,276.13-36,033.33-12,573.75-20,553.16-30,496.56-14,161.05-525.74-15,382.23-12,418.61-1,901.06-10,884.53-2,763.04-20,785.78-1,008.34-1,178.73-1,331.56-21.28-2,140.77-260.47-1,103.61-47.21-211.39-262.67-161.04-293.80-190.51-244.7415.43-286.00-161.95-448.16-452.69-267.07-424.15-460.088.07-721.99-455.88-548.76-736.17-1,556.57-247.27-354.00-240.24-212.28-141.24-223.75-356.94-438.47-320.91-145.85-98.63-120.02-963.71
--32,945.87--26,686.55-9,152.63-16,391.97-38,238.24-44,876.74-390.61-13,276.13-36,033.33-12,573.75-20,553.16-30,496.56-14,161.05-525.74-15,382.23-12,418.61-1,901.06-10,884.53-2,763.04-20,785.78-1,008.34-1,178.73-1,331.56-21.28-2,140.77-260.47-1,103.61-47.21-211.39-262.67-161.04-293.80-190.51-244.7415.43-286.00-161.95-448.16-452.69-267.07-424.15-460.088.07-721.99-455.88-548.76-736.17-1,556.57-247.27-354.00-240.24-212.28-141.24-223.75-356.94-438.47-320.91-145.85-98.63-120.02-963.71
---------------------------------------------------------------
--31,993.31--24,358.15-8,734.77-15,725.26-35,364.77-43,687.16-412.75-13,831.97-38,633.13-12,745.27-20,627.17-30,107.31-14,541.86-401.668,862-48,007.84-2,496.50-13,680.38-2,715.13-21,880.44-1,037.20-1,317.11-1,250.24-27.16-1,973.08-244.74-1,290.76-46.44-222.49-308.12-165.54-301.50-99.17-307.6515.74-116.56-204.83-301.68-390.09-281.92-459.39-889.12-325.62-1,383.21-608.72-59.16-776.01-950.39-488.14-336.15-172.76-117.25-78.00-267.36-110.83-670.92-167.52-282.32-81.23-427.71-937.74
--31,993.31--24,358.15-8,734.77-15,725.26-35,364.77-43,687.14-412.75-13,831.97-39,720.77-12,745.27-20,627.17-30,107.31-14,658.91-436.138,117-48,169.66-2,451.72-13,475.33-2,663.71-21,660.33-1,032.52-1,317.11-1,250.24-27.16-2,114.93-244.74-1,290.76-46.44-222.49-308.12-165.54-301.50-99.17-302.4523.13-118.19-204.81-301.63-390.01-281.75-458.99-888.35-325.48-1,381.42-607.75-58.05-774.79-947.80-487.56-335.42-172.20-116.63-77.69-266.68-110.47-671.14-167.01-281.17-80.85-427.56-937.74
-0.00-0.000.000.000.000.000.020.000.000.000.000.000.000.010.000.000.000.000.010.000.010.020.010.160.010.050.010.130.070.050.060.030.040.030.100.030.040.020.010.030.020.020.110.020.030.030.020.010.030.030.040.040.040.040.020.020.020.030.040.040.01
---------------------------------------------------------------
-0.06-0.040.180.040.020.010.910.070.030.100.040.020.040.290.030.071.040.140.490.120.690.620.459.150.211.350.372.340.940.510.720.600.730.812.210.941.570.881.131.320.870.530.901.451.361.311.390.941.853.225.795.5218.3022.475.920.520.408.212.401.561.52
-1,584-2,1094972,0383,9428,47499.111,3053,3878612,1984,5692,4883073,1231,34686.516541827481301461989.8443566.4724438.4196.2617512515012411140.8195.4857.4810379.3268.1010417110061.9066.3468.7464.8496.0848.6827.9115.5316.304.924.0115.2117422310.9637.4357.7259.25
-34.22-33.32-32.26-21.31-24.56-20.98-20.40-24.49-14.17-36.45-22.27-26.87-13.27-16.15-9.28-5.285.92-69.31-17.64-705.79-65.16-52.37-36.17-37.87-24.12-5.95-28.61-15.09-21.06-7.67-21.79-21.26-14.12-11.54-4.70-10.202.89-3.41-10.23-6.65-6.13-8.77-8.38-29.24-49.65-36.62-21.92-1.93-21.20-11.40-20.54-11.47-8.88-5.10-4.16-13.40-2.75-14.66-3.88-12.06-4.34-28.15-21.90
-34.22-33.32-32.26-21.31-24.56-22.37-21.78-25.97-14.88-38.10-23.12-27.78-13.67-16.59-9.50-5.446.18-74.91-19.07433-108.74-70.87-44.40-45.93-28.37-6.94-33.36-17.07-23.51-8.93-26.17-24.93-16.16-13.07-5.11-11.093.12-3.70-11.92-7.67-7.04-10.02-9.54-41.73-67.23-83.83-38.07-3.89-50.14-23.21-38.86-19.30-14.50-8.05-6.47-24.45-4.75-25.63-6.27-19.36-6.64-77.21-56.00
-23.51-24.09-23.60-14.63-17.57-15.25-15.25-15.63-9.64-23.62-17.75-21.65-11.23-13.88-8.24-4.514.38-29.15-9.78-26.50-15.53-17.92-15.32-25.14-17.78-4.46-18.63-11.49-16.76-5.97-15.06-15.10-10.67-9.17-3.81-8.402.42-3.06-8.98-5.62-5.34-7.54-7.14-17.52-35.10-21.31-15.22-1.49-14.91-8.53-14.93-8.98-7.20-4.18-3.24-11.25-2.39-12.63-2.89-9.15-3.28-16.84-9.63
-34.22-33.32-32.26-21.31-24.56-20.98-20.40-22.79-13.35-34.53-21.30-25.90-12.86-15.70-9.06-5.075.08-48.58-12.53-46.28-22.16-24.81-20.69-37.87-24.12-5.95-28.61-15.09-21.06-7.67-21.79-21.26-14.12-11.54-4.70-10.202.89-3.41-10.23-6.65-6.13-8.77-8.38-29.24-49.65-36.62-21.92-1.93-21.20-11.40-20.54-11.47-8.88-5.10-4.16-13.40-2.75-14.66-3.88-12.06-4.34-28.15-21.90
2.823.734.045.156.157.589.1010.5412.8314.3318.6122.0725.8829.0533.3529.6323.2214.0915.460.644.386.859.9110.7513.0614.6314.9718.9321.5519.1017.0420.0023.8526.4828.4429.2532.1630.2520.4422.0423.2424.3325.8312.0814.397.9110.7911.6010.9612.9414.3117.0319.3620.9721.9821.5323.9224.2527.7228.6032.0621.1717.24
-3.00-2.09-1.23-5.61-4.38-3.13-1.70-10.87-8.66-5.74-3.39-12.40-10.15-7.52-3.14-13.77-8.73-4.05-2.45-11.90-9.82-6.90-4.00-9.54-7.31-4.16-1.67-9.26-6.79-5.09-2.46-10.26-7.75-4.77-2.62-2.18-0.92-3.73-2.38-6.03-4.31-2.72-1.21-4.01-4.07-2.82-1.58-7.85-5.95-3.83-1.93-7.51-5.74-3.76-2.19-5.55-4.01-3.65-2.10-9.05-5.96-6.11-2.49
-3.02-2.11-1.24-5.34-4.13-2.87-1.43-10.92-8.70-5.77-3.39-12.47-10.18-7.55-3.15-13.89-8.77-4.07-2.47-12.02-9.92-6.99-4.08-9.81-7.54-4.37-1.82-10.77-8.09-6.01-2.59-10.71-8.19-5.14-2.73-2.67-1.24-3.94-2.48-6.31-4.55-2.90-1.25-4.05-4.13-2.83-1.59-7.93-6.03-3.90-1.97-7.58-5.79-3.79-2.21-5.62-4.08-3.71-2.12-9.08-5.97-6.12-2.49