IRadimed Financial Ratios for Analysis 2012-2024 | IRMD

Fifteen years of historical annual and quarterly financial ratios and margins for IRadimed (IRMD).

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
202320222021202020192018201720162015201420132012
4.659.0611.1812.9610.069.508.619.2511.769.744.402.14
------------
----------0.000.16
76.5077.4576.6574.3377.1176.3175.8781.0681.5178.2574.8472.34
30.5629.3223.48-2.3822.4519.725.5733.6036.4419.5924.5818.54
30.5629.3223.48-2.3822.4519.725.5733.6036.4419.5924.5818.54
31.7330.5826.841.8425.6823.3511.2436.5539.0020.5425.8019.92
33.1630.3623.52-1.9423.4820.366.0533.7036.8319.2824.5518.63
26.2224.0722.304.3225.0020.712.1722.2023.8313.1017.0812.57
0.710.620.500.450.580.630.590.870.900.671.621.38
1.202.242.272.072.421.781.321.582.451.602.131.53
5.364.028.146.935.287.236.118.618.187.995.724.85
68.0690.9044.8452.6569.1150.4859.7642.4144.6445.7163.8075.30
24.0717.4112.922.2317.3515.031.5222.6223.589.8135.7230.00
24.9517.9213.122.2717.6215.331.5623.3023.729.9337.5732.81
18.6615.0011.251.9314.4313.011.2819.4021.378.8027.7217.39
24.0717.4112.922.2317.3515.031.5222.6223.589.8135.7230.00
5.645.855.754.994.723.823.112.972.861.930.770.46
1.060.790.890.470.830.610.290.780.610.250.170.18
0.430.650.840.420.790.590.220.660.580.190.150.17

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-31
9.219.879.444.659.138.719.079.0612.8311.1610.4811.1811.3310.9014.0712.9613.2111.4412.4010.069.8210.299.489.508.908.369.198.618.699.089.329.259.6810.258.8111.7611.187.768.629.7410.123.42-4.40----
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-------------------------------------------0.00----
77.4478.1476.0776.8677.7875.5575.7475.4978.6379.7176.1977.9177.0674.7476.5675.3574.5772.5674.4974.8278.2479.8675.7376.2376.0176.8176.2075.5477.0277.6673.1278.2381.6882.3880.9782.9580.5981.3181.0074.3674.8381.5081.55100.0072.9972.34100.00-
31.5931.3926.9829.5735.7830.7725.8928.6230.8232.7524.9826.1928.3018.8019.277.6210.19-43.118.5020.5625.2825.7517.9421.5019.0222.7115.3014.913.455.93-4.6225.1333.8033.8438.8438.1039.0935.4032.396.2910.6634.2623.17100.0014.3528.10100.00-
31.5931.3926.9829.5735.7830.7725.8928.6230.8232.7524.9826.1928.3018.8019.277.6210.19-43.118.5020.5625.2825.7517.9421.5019.0222.7115.3014.913.455.93-4.6225.1333.8033.8438.8438.1039.0935.4032.396.2910.6634.2623.17100.0014.3528.10100.00-
------------------------------------------------
35.0234.9729.8032.5638.8332.8528.1131.6531.6132.8624.8626.2228.3718.9319.207.7810.31-42.859.6321.6226.3926.6019.0422.4919.5823.0915.8615.393.956.31-4.0525.2933.7533.8039.1937.6839.8836.0133.064.7610.4334.5023.26100.0015.1128.92100.00-
27.5527.3423.5126.0130.7025.9122.0124.7225.5625.4820.2032.7923.6214.9815.047.4613.96-31.0920.3929.7724.6422.6421.8720.4731.5218.3711.832.743.386.46-4.5219.0420.3422.6125.4627.3322.7923.2721.287.566.2321.6814.7113.7110.5120.1224.51-
0.190.200.200.190.190.200.200.170.170.170.170.140.140.130.130.120.110.100.130.160.160.160.160.170.160.170.180.170.150.150.140.160.220.310.270.250.260.260.270.150.170.47-0.49----
0.370.320.330.320.310.470.590.680.550.530.670.610.560.550.470.540.430.380.530.750.500.430.480.490.430.390.390.390.320.290.320.340.410.590.610.630.700.610.600.430.590.53------
1.771.501.351.431.291.461.341.121.261.521.892.312.562.532.021.871.811.511.481.491.441.571.581.981.461.852.171.771.621.461.381.591.711.701.932.282.391.791.991.833.252.07-1.74----
50.9060.0066.6263.0469.7161.8367.0780.3871.5059.3047.6238.9435.1035.6444.5348.1849.7159.6860.6960.2762.5557.3456.8445.4361.6948.5841.5350.7255.5061.7065.1556.7352.7052.8046.6439.5237.6650.3945.2849.2327.7243.58-51.60----
6.056.155.436.366.806.065.294.994.914.923.985.393.792.262.201.041.77-3.623.055.844.744.434.134.075.993.752.460.560.601.14-0.733.585.097.847.807.536.647.066.481.301.1813.95-8.74----
6.276.375.636.597.036.275.485.135.055.044.065.483.852.302.231.051.80-3.683.105.934.824.514.214.156.113.842.520.570.621.17-0.753.685.228.057.937.586.687.116.531.311.1914.48-9.19----
5.365.454.704.935.805.134.504.304.314.283.444.703.291.941.920.901.53-3.072.594.863.923.673.393.525.133.162.090.470.510.97-0.623.074.406.906.826.826.016.165.721.161.0610.25-6.78----
6.056.155.436.366.806.065.294.994.914.923.985.393.792.262.201.041.77-3.623.055.844.744.434.134.075.993.752.460.560.601.14-0.733.585.097.847.807.536.647.066.481.301.1813.95-8.74----
6.596.296.015.645.925.485.115.855.555.254.985.755.505.275.124.994.954.784.854.724.534.214.013.823.673.393.223.113.052.962.982.972.862.672.682.862.542.292.091.931.881.04-0.77----
1.540.820.301.060.750.640.370.790.550.240.110.890.630.360.080.470.270.160.100.830.510.260.050.610.310.260.130.290.170.01-0.020.780.610.310.200.610.410.230.090.250.310.250.050.170.080.060.000.00
1.090.690.270.430.170.10-0.150.650.440.180.080.840.580.330.060.420.220.130.080.790.490.240.050.590.300.250.130.220.11-0.03-0.040.660.510.230.160.580.390.220.080.190.260.230.050.150.070.06--