KalVista Pharmaceuticals Financial Ratios for Analysis 2012-2024 | KALV

Fifteen years of historical annual and quarterly financial ratios and margins for KalVista Pharmaceuticals (KALV).

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
20242023202220212020201920182017201620152015201420142013201320122012
9.9011.4616.7327.0411.496.402.5611.337.5912.86-0.65-2.516.00--
------0.00--0.06--0.85-----
------0.01--0.09--1.42-0.52---
----100.00100.00100.00100.00100.00100.00100.00100.00-100.00-100.00-
-----319.41-184.91-222.84-1,485.31-711.72-72,537.93-448.39-40,265.52--1,256.87--119.18-
-----319.41-184.91-222.84-1,485.31-711.72-72,537.93-448.39-40,265.52--1,256.87--119.18-
-----313.85-182.56-220.69-1,482.65-710.17-69,389.66-446.29-38,755.17--1,250.36--116.71-
-----230.42-128.31-188.29-1,236.90-536.15-85,675.86-400.55-46,065.52--1,368.19--133.49-
-----229.44-129.08-188.29-1,381.32-725.50-85,675.87-510.14-46,065.52--1,368.19--140.70-
----0.140.140.140.040.090.00-0.00-0.04---
-----------------
----0.771.431.230.590.95--------
----475256297618383--------
-61.30-57.70-44.49-17.98-34.76-21.52-57.99-59.3830.81-50.39-30.24-16.84---
-61.30-57.70-44.49-17.98-34.76-21.52-57.99-59.38-53.20-50.39-2892,885-97.096,760--
-53.80-50.71-40.39-17.00-31.47-17.62-25.75-54.17-46.22-43.75--201.07--56.19-4,731.67--
-61.30-57.70-44.49-17.98-34.76-21.52-57.87-59.38-53.20-47.36-536-33.77-97.09-14.35--
4.864.717.5410.534.695.602.523.239.9226.24--93.74-185---
-2.43-2.70-3.19-1.58-2.53-2.411.02-5.10-22.25-15.31-24.18-257.300.00-160.830.00-61.020.00
-2.44-2.74-3.23-1.58-2.54-2.480.88-5.12-22.27-15.80-24.65-260.94--161.42--64.05-

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-09-302016-07-312016-06-302016-04-302016-03-312016-01-312015-12-312015-09-302015-06-302015-04-302015-03-312015-01-312014-12-312014-10-312014-09-302014-07-312014-06-302014-04-302014-03-312014-01-312013-01-31
8.559.905.447.2510.6011.4616.5513.3617.5116.7322.2323.1830.3527.049.597.569.4911.4910.1410.308.296.406.596.212.412.562.739.727.8711.3311.86-18.94-19.687.5912.83-12.8616.2016.08-0.3934.50-0.65-----2.51-
-------------------0.010.01----0.000.000.000.01-------0.06-0.060.060.06--0.57----------
-------------------0.020.02-0.000.000.010.010.010.010.02-------0.11-0.090.080.08--1.06--------0.52-
-----------------100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.0071.43100.00100.0099.89100.00100.00--100.00-100.00-100.00100.00-
------------------234.21-806.85-236.96-283.88-384.63-171.21-87.50-188.52-61.34-186.44-526.80-5,680.21-390.74-3,272.98-2,043.15-34,357.14-525.13-99,485.71-45.17-93,257.14-1,096.26-165,228.50-69,985.71-80,957.1577.50-70,014.28-14,271.43---35,680.00--48,720.00--30,933.33-7,183.33-
------------------234.21-806.85-236.96-283.88-384.63-171.21-87.50-188.52-61.34-186.44-526.80-5,680.21-390.74-3,272.98-2,043.15-34,357.14-525.13-99,485.71-45.17-93,257.14-1,096.26-194,942.80-69,985.71-80,957.15-39.23-70,014.28-14,271.43---35,680.00--48,720.00--30,933.33-7,183.33-
-----------------------------------------------------
------------------175.42-589.16-150.59-217.81-287.05-101.70-59.08-135.29-13.57-224.54-442.41-5,133.33-98.55-3,082.26-1,672.59-34,071.43-352.51-105,000.00255-94,385.71-560.92-166,814.30-71,300.00-128,742.90334-74,057.14-74,057.14---39,950.00--52,699.99--33,583.33-33,583.34-
------------------172.18-589.16-150.59-217.81-291.29-101.70-59.08-135.29-13.57-224.54-442.41-5,133.33-256.44-3,167.34-2,152.79-34,071.43-458.97-105,000.00-46.19-94,385.71-879.02-186,171.40-71,300.00-128,742.90147-74,057.14-74,057.14---39,950.00--52,700.00--33,583.34-33,583.34-
-----------------0.040.020.040.030.020.030.040.060.080.040.030.000.040.01-0.00-0.000.070.00-0.000.000.00-0.000.01-------0.00-
-----------------------------------------------------
-----------------0.230.110.330.270.260.430.800.660.710.460.240.030.490.08----0.79-----------------
-----------------3898452713373482081131361271943682,7141851,175----114-----------------
-23.40-21.61-32.77-24.16-18.17-16.34-11.55-15.48-14.00-13.03-10.80-8.64-6.59-5.82-17.16-16.04-14.53-7.86-10.35-6.04-7.20-8.81-3.80-3.09-19.16-2.41-18.32-16.04-18.43-3.91-21.93--7.03--20.40-12.18-15.34--26.43-9.14-15.19-10.59--8.36-----5.98-
-23.40-21.61-32.77-24.16-18.17-16.34-11.55-15.48-14.00-13.03-10.80-8.64-6.59-5.82-17.16-16.04-14.53-7.86-10.35-6.04-7.20-8.81-3.80-3.09-19.16-2.41-18.32-16.04-18.43-3.91-21.93--7.03--20.4021.02-15.34--26.43-9.14-15.19-55.07-1,614.95-86.38------34.44-
-20.20-18.97-25.47-19.93-15.79-14.36-10.47-13.67-12.64-11.83-9.98-8.06-6.22-5.50-15.18-13.82-12.89-7.12-9.03-5.27-6.12-7.22-3.13-2.49-8.73-1.07-7.85-14.35-16.01-3.56-20.09--6.65--19.3418.26-13.30--22.95-8.04-13.33--67.22-751.30--60.13------19.95-
-23.40-21.61-32.77-24.16-18.17-16.34-11.55-15.48-14.00-13.03-10.80-8.64-6.59-5.82-17.16-16.04-14.53-7.86-10.35-5.97-7.12-8.81-3.80-3.09-19.16-2.41-18.25-15.97-18.29-3.91-21.93--7.03--20.4021.02-14.43--24.84-8.57-14.22-86.27-13.11-86.38------34.50-
4.014.862.563.324.074.715.405.856.707.548.479.3110.0010.533.253.634.164.695.035.485.725.606.036.212.432.522.652.882.753.233.59-18.04-19.169.9222.91-26.2429.0631.57--186.21----------
-0.87-2.43-2.13-1.35-0.78-2.70-1.86-1.76-0.93-3.19-2.10-1.53-0.73-1.58-1.06-0.64-0.20-2.53-1.80-1.07-0.64-2.41-1.50-0.99-0.581.021.53-1.17-0.46-5.10-2.75-13.87-7.42-8.41-6.56-22.25-2.70-17.07-15.31-8.40-6.49-24.18-80.780.000.000.00-142.870.00-83.610.00-53.490.000.00
-0.87-2.44-2.14-1.35-0.78-2.74-1.90-1.81-0.96-3.23-2.13-1.55-0.74-1.58-1.07-0.65-0.20-2.54-1.82-1.08-0.65-2.48-1.55-1.04-0.630.881.50-1.19-0.47-5.12-2.76-13.95-7.46-8.48-6.60-22.27-2.80-17.08-15.80-8.55-6.65-24.65-84.38----144.58--85.33--53.52--