Karyopharm Therapeutics Financial Ratios for Analysis 2011-2024 | KPTI

Fifteen years of historical annual and quarterly financial ratios and margins for Karyopharm Therapeutics (KPTI).

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
2023202220212020201920182017201620152014201320122011
3.375.313.744.596.017.133.007.9911.7416.8947.980.493.24
4.921.111.890.700.690.36-------
-1.25-10.21-2.122.332.210.56-------
96.6296.6898.3897.5094.11100.00100.00100.00100.00100.00100.00100.00100.00
-88.71-90.53-46.84-159.00-462.85-592.97-8,133.21-71,903.90-47,630.40-33,120.52-8,772.61-2,506.31-6,783.55
-88.71-90.53-46.84-159.00-462.85-592.97-8,133.21-71,903.90-47,630.40-33,120.52-8,772.61-2,506.31-6,783.55
-90.59-90.14-45.34-149.32-446.26-585.77-8,014.83-70,659.74-46,665.60-32,978.61-8,735.40-2,487.07-6,728.95
-97.77-105.00-59.01-181.31-487.98-588.02-8,032.46-71,063.64-47,272.40-33,090.39-8,771.84-2,505.99-6,783.55
-97.99-105.23-59.14-181.59-488.08-588.10-8,036.39-71,153.90-47,272.40-33,090.39-8,771.84-2,505.99-6,783.55
0.610.440.690.350.140.090.010.000.000.000.000.480.02
1.621.230.831.026.96--------
5.423.349.338.395.20--------
67.3910939.1443.5070.17--------
105992156-388.31-400.99-97.40-99.63-67.54-59.58-36.64-21.9156.9981.50
105992156-388.31-400.99-97.40-99.63-67.54-59.58-36.64-21.912,567-201.90
-59.52-46.15-40.64-62.70-67.67-52.29-71.54-60.75-54.85-34.39-21.45-1,211.90-142.73
-412.23-107.72-138.46-116.50-125.03-62.42-99.63-67.54-59.58-36.64-21.912,567-201.90
-1.18-0.15-1.050.680.763.012.613.875.536.325.24-0.294.16
-0.81-1.83-1.42-2.22-3.08-2.80-1.61-2.25-2.64-1.65-4.99-8.74-8.51
-0.81-1.83-1.43-2.23-3.08-2.84-1.61-2.25-2.68-1.74-5.00-8.81-8.89

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302011-12-31
3.003.623.043.374.244.945.175.313.613.884.173.743.514.714.124.595.426.297.466.017.166.936.197.135.096.692.853.005.758.327.257.998.718.0010.4511.7413.7415.9816.9616.8937.1123.9629.4247.9813.417.16-----
6.163.2478.794.922.431.721.361.115.743.181.961.893.921.971.310.700.580.470.400.690.640.560.460.36---------------------------
-1.19-1.45-1.01-1.25-1.70-2.39-3.77-10.21-1.21-1.46-2.04-2.12-1.34-2.03-4.262.331.380.880.672.211.801.290.860.56---------------------------
96.6596.5894.2395.6097.4796.8296.5194.4497.2997.6397.0199.4198.4494.9695.9997.0097.9598.8295.4892.3092.30100.00100.00100.00100.00100.00100.00100.00-100.00100.00100.00100.00100.00-100.00100.00100.00-100.00100.00100.00100.00100.00-100.00100.00-100.00--
-67.77-65.72-101.91-112.03-86.81-78.70-79.85-100.86-85.32-108.14-72.5537.19-116.25-217.02-225.16-105.60-220.83-120.31-261.09-239.09-299.65-439.12-41,885.16-27,890.86-20,566.53-172.60-389.42-2,571.84--991,733.40-44,527.94-57,797.88-53,629.16-51,654.23--117,212.10-40,813.33-22,008.67--162,137.50-94,019.05-78,323.81-8,018.71-57,847.58--5,165.41-2,408.16--10,691.18--
-67.77-65.72-101.91-112.03-86.81-78.70-79.85-100.86-85.32-108.14-72.5537.19-116.25-217.02-225.16-105.60-220.83-120.31-261.09-239.09-299.65-439.12-41,885.16-27,890.86-20,566.53-172.60-389.42-2,571.84--991,733.40-44,527.94-57,797.89-53,629.16-51,654.23--117,212.10-40,813.33-22,008.67--162,137.50-94,019.05-78,323.81-8,018.71-57,847.58--5,165.41-2,408.16--10,691.18--
---------------------------------------------------
-82.6255.76-112.57-123.59-95.79-86.49-88.05-114.45-100.37-123.34-86.5730.57-137.19-236.49-246.20-123.53-250.56-138.12-291.46-268.82-314.45-457.25-42,678.06-28,249.12-20,112.55-169.28-384.47-2,544.39--978,966.60-43,961.76-57,012.77-52,968.75-51,115.25--116,184.00-40,497.33-21,796.67--162,050.00-93,923.80-78,242.86-8,008.19-57,838.06--5,164.66-2,408.16--10,691.18--
-82.7055.61-112.79-123.97-95.83-86.83-88.19-114.67-100.50-123.65-86.8530.66-137.47-237.08-246.84-123.71-250.76-138.53-291.82-268.83-314.60-457.34-42,684.52-28,257.37-20,118.41-169.20-384.59-2,544.98--979,566.60-43,995.59-57,308.53-52,968.75-51,115.25--116,184.00-40,497.33-21,796.67--162,050.00-93,923.81-78,242.86-8,008.19-57,838.06--5,164.66-2,408.16--10,691.18--
0.200.200.160.140.130.130.120.090.160.150.160.410.150.080.080.110.060.090.040.060.040.040.000.000.000.080.070.01-0.000.000.000.000.00-0.000.000.00-0.000.000.000.000.00-0.01-----
0.280.420.690.490.290.330.350.440.230.270.370.180.150.290.300.400.220.240.844.0310.13------------------------------
1.221.131.071.250.951.161.100.711.321.691.915.612.011.261.302.721.933.501.952.301.66------------------------------
73.7479.9284.4571.9194.7877.3181.8612668.3453.2647.1816.0444.7871.2369.0433.0346.6725.7346.0539.1054.26------------------------------
20.09-18.0122.1130.7234.3745.8075.5423125.8942.1749.83-48.6041.1364.45145-85.90-63.86-35.77-31.86-97.74-69.09-52.64-54.55-31.78-28.11-15.77-40.26-30.16-21.70-17.63-21.62-16.60-15.23-19.64-15.28-14.64-13.77-13.22-9.46-12.54-8.66-12.48-9.50-7.8419.5117.22-----
20.09-18.0122.1130.7234.3745.8075.5423125.8942.1749.83-48.6041.1364.45145-85.90-63.86-35.77-31.86-97.74-69.09-52.64-54.55-31.78-28.11-15.77-40.26-30.16-21.70-17.63-21.62-16.60-15.23-19.64-15.28-14.64-13.77-13.22-9.46-12.54-8.66-12.48-9.50-7.84-17.96-43.10-----
-16.9311.12-18.27-17.40-12.78-10.96-10.47-10.75-15.71-19.13-14.0812.68-20.39-18.70-20.88-13.87-15.85-12.22-12.72-16.49-13.89-18.23-23.04-17.06-21.86-13.12-26.27-21.65-18.71-15.82-19.25-14.93-13.85-17.65-14.08-13.48-12.82-12.42-8.93-11.77-8.39-11.93-9.17-7.68-16.67-37.18-----
-103.6440.33-1,720.17-120.52-49.08-32.88-27.27-25.09-122.66-91.95-47.9143.20-120.17-62.47-44.48-25.77-26.80-19.06-19.05-30.47-24.65-23.02-29.32-20.37-28.11-15.77-40.26-30.16-21.70-17.63-21.62-16.60-15.23-19.64-15.28-14.64-13.77-13.22-9.46-12.54-8.66-12.48-9.50-7.84-17.96-43.10-----
-1.27-1.06-1.45-1.19-0.88-0.62-0.40-0.15-1.73-1.46-1.05-1.05-1.67-1.10-0.530.681.141.772.270.760.951.351.993.012.823.531.922.612.993.543.303.874.204.274.935.536.186.937.726.326.984.434.875.2420.036.50-----
-0.81-0.53-0.38-0.81-0.65-0.39-0.17-1.83-1.53-1.18-0.76-1.42-1.76-1.44-0.71-2.22-1.76-1.16-0.67-3.08-2.44-1.88-1.09-2.80-1.83-1.29-0.70-1.61-1.45-1.01-0.59-2.25-1.75-1.23-0.65-2.64-2.06-1.35-0.57-1.65-1.19-0.76-0.36-4.99-7.94-4.71-2.320.00-6.240.000.00
-0.81-0.53-0.38-0.81-0.65-0.39-0.17-1.83-1.53-1.19-0.76-1.43-1.76-1.44-0.71-2.23-1.76-1.16-0.67-3.08-2.44-1.89-1.10-2.84-1.85-1.30-0.71-1.61-1.45-1.01-0.59-2.25-1.75-1.23-0.65-2.68-2.09-1.38-0.58-1.74-1.27-0.77-0.36-5.00-7.95-4.71-2.32--6.31--