IRhythm Technologies Financial Ratios for Analysis 2014-2024 | IRTC

Fifteen years of historical annual and quarterly financial ratios and margins for IRhythm Technologies (IRTC).

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
2023202220212020201920182017201620152014
2.153.243.485.753.323.445.728.983.743.20
0.140.130.030.060.200.400.290.261.170.58
0.170.150.080.100.260.670.430.35-6.751.40
67.3568.5466.1673.5075.5473.6671.5567.4159.3251.30
-25.40-27.69-30.96-16.47-25.52-31.02-27.83-24.32-59.85-67.89
-25.40-27.69-30.96-16.47-25.52-31.02-27.83-24.32-59.85-67.89
-23.11-24.54-27.40-13.71-23.90-29.34-25.96-23.04-58.17-66.27
-24.90-28.20-31.28-16.44-25.40-34.18-30.00-32.62-63.09-72.79
-25.05-28.27-31.40-16.53-25.43-34.21-30.00-32.62-63.09-72.79
1.140.920.700.520.701.250.740.460.951.18
11.518.5310.6413.2313.0018.8116.7615.0212.8412.95
8.018.236.958.868.997.447.656.816.483.72
45.5544.3452.5041.2040.6049.0547.6953.5856.3398.23
-58.74-48.44-36.26-12.83-40.30-96.63-37.38-22.5822.4319.66
-58.98-48.61-36.38-12.86-40.56-98.25-37.79-22.80423-438.80
-28.49-25.91-21.89-8.56-17.82-42.87-22.34-15.13-60.20-85.54
-50.36-42.28-35.05-12.08-32.40-57.88-26.54-16.75-87.61-147.62
6.797.949.4811.775.072.143.404.18-3.213.37
-1.64-0.77-1.29-0.50-0.87-1.22-0.66-3.15-13.09-11.89
-2.97-1.77-2.24-0.98-1.68-1.43-0.82-3.67-14.38-12.30

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302014-12-31
6.276.927.102.152.292.713.103.243.424.044.633.483.934.605.665.756.553.103.603.324.072.663.273.444.795.586.595.727.658.159.988.981.912.56-----
0.900.870.880.140.140.140.000.130.130.120.120.030.040.050.060.060.070.190.190.200.200.420.410.400.340.320.310.290.270.270.270.262.281.82-----
9.006.507.130.170.160.160.000.150.150.140.140.080.080.090.100.100.100.300.280.260.250.720.700.670.510.480.470.430.390.380.370.35-1.78-2.22-----
68.7869.8966.3465.9866.1969.4667.9169.8968.2868.8366.8562.6965.7268.0268.4373.9974.6669.5774.7276.4674.7975.1975.6474.9174.1173.2471.8371.5272.3671.7370.4469.0768.5267.2363.75-59.89--
-34.10-15.52-28.91-29.57-22.15-15.20-35.45-18.38-20.30-22.98-52.55-39.36-27.25-20.91-36.97-12.16-6.61-39.63-14.44-29.99-33.40-20.15-16.97-33.06-23.99-32.93-34.82-37.99-23.90-24.82-22.13-23.25-15.89-23.50-37.89--58.86--
-34.10-15.52-28.91-29.57-22.15-15.20-35.45-18.38-20.30-22.98-52.55-39.36-27.25-20.91-36.97-12.16-6.61-39.63-14.44-29.99-33.40-20.15-16.97-33.06-23.99-32.93-34.82-37.99-23.90-24.82-22.13-23.25-15.89-23.50-37.89--58.86--
---------------------------------------
-31.17-13.45-34.59-29.01-21.61-14.72-35.02-17.87-20.54-23.38-54.73-39.65-27.67-21.22-37.25-12.28-6.35-39.91-14.24-29.24-33.42-20.42-17.04-40.38-25.30-34.41-36.37-39.82-26.06-27.01-24.74-33.50-24.28-28.19-47.66--61.49--
-31.30-13.58-34.61-29.20-21.76-14.89-35.10-17.94-20.65-23.42-54.78-39.72-27.78-21.36-37.38-12.25-6.50-40.17-14.27-29.27-33.46-20.45-17.07-40.48-25.30-34.41-36.37-39.82-26.06-27.01-24.74-33.50-24.28-28.19-47.66--61.49--
0.160.160.150.310.280.290.260.250.240.230.220.180.180.170.160.150.140.180.220.190.180.250.410.360.320.290.250.220.190.180.160.140.610.55-----
3.062.892.993.233.092.622.182.242.282.212.462.972.942.813.423.863.603.103.803.453.944.694.705.214.294.384.644.875.275.485.484.163.163.54-----
1.911.731.472.162.492.432.252.261.721.781.671.761.621.281.242.632.482.222.622.482.191.801.712.161.881.861.782.222.082.201.951.991.801.70-----
47.2351.9861.2041.7636.1637.0640.0239.8952.4550.6053.8651.0855.6470.2372.6534.1836.2240.4734.3036.3441.1650.0152.6141.6147.9148.3850.5440.4743.2840.9446.1145.2649.9252.79-----
-64.35-20.27-50.58-18.42-12.34-8.26-17.63-8.42-8.97-9.77-20.67-11.62-8.02-5.67-8.97-2.83-1.40-17.33-7.25-12.78-12.83-22.06-16.59-33.24-15.21-17.83-15.31-14.42-7.64-7.37-5.94-6.773.553.99-----
-65.13-20.45-51.07-18.50-12.39-8.29-17.70-8.45-9.00-9.80-20.74-11.66-8.05-5.68-9.00-2.83-1.40-17.46-7.30-12.86-12.91-22.46-16.88-33.79-15.42-18.05-15.49-14.57-7.72-7.44-6.00-6.8321.8029.52-----
-5.08-2.19-5.02-8.93-6.17-4.30-9.27-4.51-4.87-5.48-11.80-7.02-4.94-3.58-5.81-1.89-0.94-7.40-3.20-5.65-5.90-5.17-7.04-14.74-8.17-10.09-9.09-8.62-4.88-4.80-3.99-4.54-14.88-15.44-----
-6.44-2.70-6.22-15.79-10.64-7.14-17.55-7.35-7.82-8.55-18.09-11.23-7.69-5.39-8.47-2.66-1.30-14.08-5.85-10.27-10.31-12.84-9.75-19.91-10.08-12.08-10.57-10.24-5.56-5.41-4.35-5.02-29.18-25.78-----
2.293.182.906.797.187.337.287.947.958.168.229.4810.0610.4310.5711.7711.594.314.625.075.381.962.022.142.652.863.083.403.723.874.034.18-12.26-9.74-----
-0.51-1.29-1.68-1.64-1.12-1.16-1.02-0.77-1.18-1.32-1.31-1.29-0.84-1.45-1.43-0.50-0.77-1.20-0.83-0.87-0.67-0.65-0.70-1.22-1.03-0.83-0.56-0.66-0.49-0.33-0.29-3.15-10.81-9.31-6.710.00-8.800.000.00
-1.37-1.88-1.99-2.97-1.99-1.74-1.29-1.77-1.94-1.87-1.50-2.24-1.64-1.79-1.58-0.98-1.17-1.40-0.96-1.68-1.02-0.87-0.77-1.43-1.18-0.92-0.61-0.82-0.61-0.43-0.34-3.67-12.06-10.06-7.18--9.88--