Myriad Genetics Financial Ratios for Analysis 2009-2024 | MYGN

Fifteen years of historical annual and quarterly financial ratios and margins for Myriad Genetics (MYGN).

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
2023202220212020202020192018201720162015201420132012201120102009
2.012.002.37-2.262.963.211.394.354.134.007.509.4012.1617.2611.38
0.05---0.200.180.010.11--------
0.05---0.240.210.010.13--------
68.6470.2271.39-70.8676.3876.1776.5178.7679.6285.9787.0086.9688.3887.7986.75
-34.17-20.73-27.58--36.280.8916.396.0420.7218.5635.2637.1836.3539.2437.2538.73
-34.17-20.73-27.58--36.280.8916.396.0420.7218.5635.2637.1836.3539.2437.2538.73
-25.96-10.47-18.23--9.409.4723.7112.6724.3322.0237.0338.6338.1841.0439.2041.62
-34.81-20.73-8.27--34.97-16.154.9721.0718.6635.7038.0537.2139.7138.8341.79
-34.96-16.51-3.94--31.240.5417.922.3915.8311.0922.6424.0122.6125.0542.0025.91
0.660.570.52-0.450.540.630.600.840.940.940.760.720.660.610.70
10.7410.0512.92-6.406.405.174.064.115.874.5715.925.595.68--
6.596.687.56-8.996.147.207.607.798.259.146.327.867.917.537.32
55.3954.6648.25-40.5859.4450.7048.0446.8344.2739.9157.7346.4346.1648.4549.87
-33.62-12.64-2.81--21.740.4013.782.2415.6712.1124.5120.2017.6417.7727.3231.38
-179.97-51.07-8.38-1,358-33.8569.21-43.4336.0327.4451.1522.3619.9220.3927.4231.38
-22.97-9.34-2.06--14.210.2811.321.4213.3110.4721.3918.3116.2416.4925.6529.21
-32.04-12.64-2.81--17.470.3313.651.9815.6712.1124.5120.2017.6417.7727.3231.38
8.7110.9112.10-12.2914.8213.6811.2310.839.619.789.047.706.575.934.53
-1.34-1.320.240.000.821.101.611.542.271.892.432.091.641.431.560.85
-2.10-1.880.01-0.680.991.491.452.201.572.251.951.531.391.480.78

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.901.961.992.011.271.331.832.002.733.072.572.372.461.992.21-2.952.263.143.252.86-3.152.973.17-3.522.052.34-1.574.131.17-5.635.705.21-4.205.354.95-4.696.745.80-8.3510.057.59-11.3012.3413.37-17.7819.1815.90-20.2817.6519.55-12.51
0.050.050.050.050.050.05--------0.15-0.200.200.190.170.17-0.200.200.19-0.070.050.08-0.180.22-------------------------------
0.050.050.050.050.060.05-------0.120.18-0.250.240.240.210.21-0.240.260.23-0.070.050.09-0.220.280.27------------------------------
70.2369.5568.0568.6769.9868.5067.3369.6967.7772.2870.8967.9771.4374.6670.94-69.5660.6269.45-73.32-77.56-75.43-75.91-75.95-77.50-77.46-78.90-80.11-79.83-79.32-85.45-87.41-87.00-87.01-86.72-87.00-89.13-88.01-88.02-87.00-87.02
-9.38-17.26-13.80-15.97-31.32-61.96-28.81-29.36-28.77-9.93-15.52-30.35-47.76-7.97-26.98--27.27-73.28-81.52100.00-11.22-2.72100.000.59-7.54100.0046.98-3.91100.003.21-22.36100.0023.60-19.83100.0015.34-30.22100.0040.95-37.01100.0036.41-35.52100.0037.55-40.85100.0038.75-36.58100.0034.91-40.75
-9.38-17.26-13.80-15.97-31.32-61.96-28.81-29.36-28.77-9.93-15.52-30.35-47.76-7.97-26.98--27.2710.62-81.52--11.22-2.72-0.59-7.54-46.98-3.91-3.21-22.36-23.60-19.83-15.34-30.22-40.95-37.01-36.41-35.52-37.55-40.85-38.75-36.58-34.91-40.75
---------------------------------------------------------------
-9.94-17.59-12.81-16.43-31.89-63.27-29.03-29.30-28.26-9.98-16.01-27.0523.79-2.01-28.65--30.10-62.77-79.94-5.84-11.97-1.521.660.40-7.262.9846.53-4.066.162.25-22.6223.2823.71-19.7220.5515.34-31.3541.2341.40-37.8638.2137.34-36.5938.0937.85-41.3338.8839.38-37.9639.1736.90-44.11
-10.36-17.35-12.86-15.87-31.94-63.27-30.19-23.79-22.44-7.86-12.43-4.7314.70-2.48-22.82--10.47-14.70-70.24-4.25-11.06-3.191.20-0.35-4.9716.4444.07-2.133.00-0.68-18.1119.1916.51-11.8913.029.48-20.1024.6827.39-24.2223.4922.58-22.8223.0422.72-27.2924.0924.54-36.6138.1235.76-29.26
0.200.190.180.170.170.150.160.150.130.150.130.120.130.140.13-0.100.070.110.120.12-0.140.140.13-0.150.150.15-0.160.150.14-0.220.220.23-0.230.240.21-0.220.270.26-0.210.210.19-0.190.190.18-0.180.170.15-0.150.170.17-0.14
2.422.472.632.802.292.572.722.682.573.233.083.372.572.712.04-1.661.261.631.771.77-1.521.561.38-1.321.161.11-0.930.870.74-1.591.401.06-1.241.881.41-1.41---2.851.901.63-1.661.571.48----------
1.701.801.711.721.671.641.521.751.531.631.621.761.792.001.79-1.671.311.561.601.53-1.471.771.64-1.441.481.49-1.651.761.73-2.032.162.16-1.892.131.94-2.132.332.30-1.641.952.07-2.472.792.43-2.152.492.08-1.851.871.90-1.67
53.0450.1352.5752.3254.0354.7859.1651.4358.8155.1155.5151.1050.3545.0550.17-53.9968.5657.6256.1958.84-61.0850.8554.90-62.4260.8860.45-54.4851.0752.12-44.4141.6241.69-47.5942.2446.37-42.2738.6439.13-54.8546.2043.49-36.3732.3037.05-41.9536.2043.32-48.6148.0347.38-53.75
-3.02-4.96-3.42-3.98-8.97-15.79-6.55-4.78-3.83-1.49-2.16-0.792.54-0.52-4.51--1.67-1.49-11.91--1.92-0.64--0.07-0.95-9.04-0.56--0.16-4.484.814.41-3.20-2.25-5.09-8.04-5.70-4.74-4.54-4.33-5.33-3.95-5.86-6.43-6.55
-16.63-27.25-19.68-21.33-152.49-130.16-30.61-19.29-11.35-4.31-6.45-2.347.83-2.00304-15493.20-573.14-219--20.47-1.77-5.59-116--6.44-1.22-8.439.109.46-7.43-4.69-10.59-8.94-6.37-5.35-5.11-4.96-5.33-3.95-5.86-6.43-6.55
-2.04-3.38-2.34-2.72-5.33-9.78-4.68-3.53-2.90-1.17-1.63-0.581.84-0.35-2.95--1.05-0.98-7.96--1.29-0.44--0.05-0.74-6.41-0.33--0.09-3.974.263.85-2.75-1.98-4.50-7.10-5.20-4.29-4.24-4.05-5.01-3.69-5.64-6.16-6.17
-2.87-4.71-3.26-3.80-8.49-15.01-6.55-4.78-3.83-1.49-2.16-0.792.54-0.52-3.84--1.34-1.20-9.66--1.59-0.51--0.06-0.88-8.33-0.46--0.16-4.484.814.41-3.20-2.25-5.09-8.04-5.70-4.74-4.54-4.33-5.33-3.95-5.86-6.43-6.55
8.048.158.408.718.328.9810.2510.9111.3311.7511.8312.1012.1511.6111.41-12.0912.2912.9814.4614.44-14.7414.5414.76-13.5713.1712.58-10.9810.7610.75-10.9410.779.90-9.559.719.76-9.699.148.99-8.338.147.81-7.717.326.84-6.126.226.18-5.815.374.92-6.12
-0.17-0.18-0.21-1.34-0.69-0.42-0.41-1.32-1.23-1.20-0.580.240.340.870.940.00-0.170.630.230.190.210.000.700.600.110.000.940.790.330.001.020.42-0.040.001.741.110.410.001.210.790.090.001.951.801.110.001.340.870.610.001.160.690.370.001.050.710.310.001.090.660.230.000.45
-0.34-0.31-0.28-2.10-1.34-0.94-0.70-1.88-1.61-1.36-0.660.010.170.720.85--0.260.490.190.120.20-0.600.540.09-0.850.730.31-0.940.36-0.06-1.701.080.40-0.910.56-0.06-1.831.691.04-1.240.790.58-1.070.630.34-1.010.680.29-1.020.600.22-0.40