Insmed Financial Ratios for Analysis 2009-2024 | INSM

Fifteen years of historical annual and quarterly financial ratios and margins for Insmed (INSM).

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
4.126.696.195.246.516.518.726.0212.948.397.065.9417.2932.5844.81
1.390.930.590.570.580.600.130.260.070.120.100.120.000.00-
-3.5713.141.421.351.361.520.150.350.080.130.140.160.000.000.00
78.5277.5376.5775.7582.2675.36----100.00-100.00100.00100.00
-232.51-186.39-199.03-161.32-172.38-3,124.94-----478.39--1,397.31-116.92-83.62
-232.51-186.39-199.03-161.32-172.38-3,124.94-----478.39--1,397.31-116.92-83.62
-225.75-179.75-174.46-139.66-150.46-2,900.08-----469.58--1,389.54-116.14-76.81
-244.76-195.69-231.57-178.02-185.80-3,295.13-----498.21--1,350.78-91.841,146
-245.59-196.26-230.63-178.87-186.37-3,297.17-----487.59--1,558.50-92.961,141
0.230.150.150.210.180.02----0.07-0.030.040.08
0.790.790.660.800.860.34---------
7.418.267.749.937.101.78------5.8314.694.57
49.2644.2047.1636.7751.44205------62.5524.8479.81
226-547.50-105.89-106.60-97.20-155.70-53.36-114.11-37.92-42.50-39.12-34.23-44.44-3.3595.51
141412-216.73-129.77-122.28-216.78-63.61-114.11-37.92-42.50-39.12-34.23-44.44-3.4595.51
-56.37-29.07-34.95-36.94-34.26-53.64-41.69-74.08-33.15-34.29-31.77-26.94-42.67-3.2893.41
-88.14-38.74-43.85-45.46-41.21-61.79-46.24-84.23-35.41-37.50-35.12-30.16-44.38-3.3495.51
-2.240.653.462.682.922.694.712.495.043.743.663.845.4112.329.52
-3.82-3.25-3.24-2.25-2.96-3.36-2.40-2.37-1.72-1.49-1.33-1.17-1.29-0.58-0.87
-3.91-3.34-3.31-2.31-3.46-3.53-2.44-2.44-1.78-1.62-1.36-1.18-1.34-0.58-0.87

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.711.804.124.715.156.016.694.595.936.046.198.5210.426.165.247.958.986.896.516.977.544.826.5110.0614.1420.018.7215.213.675.666.028.797.1010.1212.946.847.943.418.398.033.975.317.066.554.344.105.9413.8011.3917.1617.2922.8126.5223.0932.5854.4941.5250.6744.8134.1926.699.54
0.961.931.391.331.151.040.931.040.950.870.590.530.510.650.570.510.470.640.580.520.480.690.600.520.450.410.130.120.400.310.260.140.060.060.07---0.120.070.130.100.100.070.120.120.120.060.070.000.000.000.000.000.00-------
30.90-2.57-3.57-4.07-7.52-26.0513.14-26.9618.256.731.421.131.061.871.351.030.901.751.361.090.912.231.521.070.830.700.150.130.660.450.350.160.100.090.080.070.070.150.130.100.180.150.140.130.190.180.160.070.080.000.000.000.000.000.00---0.000.000.010.02
76.7976.8877.9678.8778.5178.7977.9680.1174.8677.0476.3278.2276.1175.5273.7775.6676.5977.1180.9583.4583.5981.05----------------------100.00-----100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
-319.80-192.72-213.01-186.75-304.97-227.19-255.44-188.54-135.41-169.15-176.53-221.61-195.23-208.47-228.27-128.82-127.34-163.75-103.01-145.27-207.41-317.36-----------------------71.90------632.29-8,036.78-1,070.86-463.15-479.18-33.09-48.98-13.0113.79-30.87-42.96-293.12
-319.80-192.72-213.01-186.75-304.97-227.19-255.44-188.54-135.41-169.15-176.53-221.61-195.23-208.47-228.27-128.82-127.34-163.75-103.01-145.27-207.41-317.36-----------------------71.90------632.29-8,036.78-1,070.86-463.15-479.18-33.09-48.98-13.0113.79-30.87-42.96-293.12
--------------------------------------------------------------
-331.83-207.29-221.12-200.31-316.30-244.24-269.81-193.08-145.88-177.45-201.37-246.58-257.24-227.29-245.30-145.14-144.55-179.95-115.22-155.67-221.62-337.59-----------------------76.99------581.90-7,951.95-1,024.23-430.48-442.54-14.00-20.126.12-0.44-6.06-52.665,088
-332.75-208.07-222.31-201.00-316.99-244.98-270.02-193.63-146.65-178.17-201.30-241.06-258.61-227.88-246.80-145.86-145.56-180.04-115.93-156.06-221.92-338.57-----------------------76.99------581.75-7,951.95-1,024.23-1,003.69-442.39-18.26-20.286.1292.68-6.06-52.664,970
0.050.070.060.060.050.040.040.070.060.050.050.040.040.060.050.050.050.050.060.050.040.04----------------------0.08-----0.010.000.010.010.010.010.010.020.020.020.020.02
0.230.210.220.210.210.190.190.200.240.190.200.150.180.190.220.240.280.280.310.280.240.33----------------------------------------
2.242.032.032.222.502.142.002.472.212.062.302.422.462.282.502.872.802.152.382.532.582.34----------------------------1.850.993.239.472.807.629.810.871.107.7614.4120.79
40.1544.3044.2940.5036.0642.1245.1036.4140.6843.5939.0537.1836.5439.4535.9931.3432.1341.8837.8735.5234.9538.41----------------------------48.5691.0327.889.5032.0911.809.1710382.0411.606.254.33
-774.4133.8056.0654.93157358-182.06438-216.19-78.93-27.52-22.33-22.09-45.45-37.05-17.83-15.26-32.11-20.25-19.96-18.65-51.45-43.97-30.11-20.62-15.76-18.11-10.72-53.53-30.75-44.28-17.33-14.60-11.87-10.02-9.13-7.83-16.60-9.48-12.04-20.82-10.85-11.31-11.03-8.42-12.71-12.78-6.87-8.10-5.34-6.08-24.30-5.67-3.71-3.04-0.26-0.300.091.86-0.12-1.33101
19023.6834.9932.4168.3764.3513755.5558.62107-56.33-38.38-24.22-59.65-45.10-20.73-17.47-43.02-25.48-24.36-22.14-85.52-61.22-37.91-20.62-15.76-21.59-10.72-53.53-30.75-44.28-17.33-14.60-11.87-10.02-9.13-7.83-16.60-9.48-12.04-20.82-10.85-11.31-11.03-8.42-12.71-12.78-6.87-8.10-5.34-6.08-24.30-5.88-3.84-3.13-0.26-0.300.091.86-0.12-1.33101
-16.61-13.55-13.99-12.00-17.01-10.53-9.67-13.18-9.08-8.20-9.09-8.59-9.54-13.24-12.84-7.57-6.99-9.81-7.14-7.95-8.29-12.44-15.15-13.26-10.55-8.86-14.15-8.93-26.97-18.65-28.75-13.65-12.21-10.23-8.76-8.03-7.00-13.28-7.64-10.19-15.47-8.58-9.19-9.12-6.38-9.56-10.06-6.15-7.13-5.14-5.84-23.68-5.56-3.62-2.98-0.26-0.300.091.82-0.12-1.2890.74
-29.73-31.38-21.88-17.94-24.18-14.31-12.88-16.87-11.23-10.21-11.40-10.47-10.72-15.87-15.80-8.80-8.03-11.71-8.59-9.56-9.74-15.93-17.45-14.54-11.28-9.29-15.69-9.48-32.22-21.18-32.69-14.95-13.72-11.12-9.36-9.13-7.83-16.60-8.36-11.21-18.14-9.77-10.16-10.21-7.37-11.20-11.26-6.46-7.53-5.34-6.07-24.29-5.67-3.71-3.03-0.26-0.300.091.86-0.12-1.33101
0.23-3.13-2.24-2.02-1.09-0.330.65-0.250.371.003.464.274.611.952.683.514.002.302.923.404.001.862.693.784.815.684.715.501.341.962.493.524.054.575.045.495.923.303.744.022.843.353.664.023.293.413.844.384.815.155.415.737.127.4812.329.579.559.569.529.309.329.32
-1.98-1.24-3.82-2.84-1.96-1.07-3.25-2.46-1.73-0.88-3.24-2.38-1.86-1.25-2.25-1.50-0.97-0.65-2.96-2.31-1.88-0.95-3.36-2.44-1.59-0.88-2.40-1.71-1.18-0.60-2.37-1.43-0.93-0.48-1.72-1.18-0.81-0.50-1.49-1.17-0.78-0.32-1.33-0.87-0.51-0.36-1.17-0.88-0.52-0.23-1.29-0.97-0.65-0.27-0.580.090.170.02-0.87-0.91-0.84-0.17
-2.06-1.27-3.91-2.92-2.02-1.10-3.34-2.50-1.77-0.90-3.31-2.44-1.90-1.26-2.31-1.55-1.02-0.68-3.46-2.64-2.06-1.00-3.53-2.57-1.70-0.95-2.44-1.73-1.19-0.60-2.44-1.49-0.97-0.49-1.78-1.23-0.84-0.52-1.62-1.25-0.80-0.33-1.36-0.89-0.53-0.36-1.18-0.89-0.52-0.23-1.34-0.99-0.65-0.27-0.580.090.170.02-0.87-0.91-0.84-0.17