Myomo Financial Ratios for Analysis 2015-2025 | MYO

Fifteen years of historical annual and quarterly financial ratios and margins for Myomo (MYO).

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
2024202320222021202020192018201720162015
3.222.492.564.465.031.584.249.320.381.45
-----0.33---2.3010.67
-----1.45---1.12-1.53
71.2368.5165.9174.4265.7162.9870.2067.5974.4264.56
-19.07-42.78-68.61-74.10-138.50-281.29-430.77-420.06-296.84-512.35
-19.07-42.78-68.61-74.10-138.50-281.29-430.77-420.06-296.84-512.35
-16.92-40.67-65.12-71.68-134.93-277.29-427.92-418.18-295.66-510.41
-17.87-41.53-68.47-74.21-152.49-279.15-422.11-776.04-327.84-540.77
-19.00-42.34-68.92-79.47-161.33-299.93-422.11-812.08-397.37-649.90
0.771.321.530.690.520.580.300.110.670.46
2.963.363.794.383.683.232.842.513.422.49
8.518.088.207.078.209.056.395.259.645.96
42.8945.2044.4951.6344.5240.3557.0969.5537.8861.20
-25.02-90.64-168.59-67.31-99.99-587.11-160.55-97.2020.6326.83
-25.02-90.64-168.59-67.31-99.99-587.11-160.55-97.2074.45279
-14.64-55.88-105.50-51.62-78.61-162.35-124.57-86.57-218.12-247.18
-25.02-90.64-168.59-67.31-99.99-394.78-160.55-97.20245-2,696.37
0.720.330.822.242.523.1815.4833.55-129.80-40.19
-0.09-0.21-1.45-1.64-2.71-18.67-23.43-42.79-90.65-100.24
-0.12-0.21-1.47-1.69-2.73-18.76-23.74-43.26-90.70-101.08

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
2024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302015-12-31
3.222.102.342.832.492.782.913.282.562.693.433.574.464.425.174.865.036.884.703.771.583.435.696.794.245.558.1413.339.323.053.92-----
--------------------0.33--------0.340.27-----
-----------------0.010.100.121.45--------0.740.52-----
71.3975.4370.8161.2465.2868.6871.8566.9565.2766.4565.2966.6377.4574.6870.9673.3373.4255.6151.2268.3972.0845.7356.8265.4574.5768.2168.3065.4962.7474.6067.8463.66-58.1580.25-
-2.03-10.40-14.83-103.58-51.16-39.85-18.51-77.49-54.91-71.03-78.74-70.81-67.11-46.31-83.74-125.51-44.50-132.10-331.77-339.48-169.71-465.70-307.42-323.20-307.45-444.75-424.13-767.26-331.74-293.73-630.44-630.66--506.98-271.02-
-2.03-10.40-14.83-103.58-51.16-39.85-18.51-77.49-54.91-71.03-78.74-70.81-67.11-46.31-83.74-125.51-44.50-132.10-331.77-339.48-169.71-465.70-307.42-323.20-307.45-444.75-424.13-767.26-331.74-293.73-630.44-630.66--506.98-271.02-
------------------------------------
-1.45-9.57-13.40-99.98-50.23-39.03-17.08-75.49-54.21-70.72-79.27-70.80-67.24-46.40-83.94-125.51-44.89-144.05-382.70-377.07-181.59-459.62-291.40-312.99-302.61-435.12-415.83-748.90-347.14-257.70-2,407.00-719.79--552.82-299.09-
-2.16-10.50-14.91-102.16-51.72-39.95-17.02-76.72-53.63-71.31-79.10-72.78-83.67-46.92-84.44-126.72-44.81-144.11-382.83-443.65-181.59-459.62-291.40-409.09-302.61-435.12-415.83-748.90-347.14-257.70-2,528.53-807.22--657.42-374.21-
0.290.560.460.230.330.300.450.250.400.330.250.220.200.250.180.110.260.130.070.060.230.100.100.070.110.060.050.020.040.080.04-----
1.090.670.840.610.921.071.250.731.000.901.011.251.121.721.240.791.421.130.620.530.970.721.090.950.880.710.810.451.011.010.80-----
3.152.472.982.232.002.023.632.232.132.492.712.292.061.982.743.054.106.242.773.373.584.532.662.082.331.731.642.071.842.161.21-----
28.5336.4530.2340.3545.0844.6024.8040.4242.2336.1833.2239.3843.7545.4932.8229.4821.9614.4132.5526.7225.1119.8833.8443.3638.6752.1454.7943.5248.8441.6274.55-----
-1.05-10.40-11.59-35.19-27.37-18.41-11.50-27.45-34.08-36.18-28.11-21.87-17.74-15.65-18.98-18.43-14.69-21.39-32.70-32.27-151.34-63.10-36.10-27.29-41.89-29.61-22.96-16.84-15.27-48.88-188.19-----
-1.05-10.40-11.59-35.19-27.37-18.41-11.50-27.45-34.08-36.18-28.11-21.87-17.74-15.65-18.98-18.43-14.69-21.39-32.70-32.27-151.34-63.10-36.10-27.29-41.89-29.61-22.96-16.84-15.27-48.88-188.19-----
-0.62-5.92-6.93-23.22-16.87-11.90-7.63-19.25-21.33-23.28-19.98-15.66-13.60-11.78-14.80-14.15-11.55-18.08-25.62-23.89-41.85-45.84-30.03-23.41-32.51-24.47-20.12-15.55-13.60-21.13-94.21-----
-1.05-10.40-11.59-35.19-27.37-18.41-11.50-27.45-34.08-36.18-28.11-21.87-17.74-15.65-18.98-18.43-14.69-21.39-32.70-32.27-101.76-63.10-36.10-27.29-41.89-29.61-22.96-16.84-15.27-32.50-137.36-----
0.720.310.320.380.330.420.420.460.821.111.821.872.242.252.422.872.522.853.124.193.187.7212.4516.7215.4821.6127.7033.7033.5512.6619.51-----
-0.09-0.18-0.14-0.09-0.21-0.11-0.08-0.08-1.45-1.10-0.72-0.34-1.64-1.36-0.98-0.41-2.71-2.00-2.08-1.37-18.67-13.46-9.49-6.26-23.43-17.16-11.16-5.72-42.79-22.77-35.66-31.010.00-62.30-29.070.00
-0.12-0.19-0.14-0.09-0.21-0.11-0.08-0.08-1.47-1.12-0.73-0.34-1.69-1.41-1.02-0.42-2.73-2.01-2.09-1.38-18.76-13.52-9.55-6.28-23.74-17.44-11.36-5.88-43.26-22.81-35.73-31.12--62.30-29.07-