Nektar Therapeutics Financial Ratios for Analysis 2009-2024 | NKTR

Fifteen years of historical annual and quarterly financial ratios and margins for Nektar Therapeutics (NKTR).

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
202320222021202020192018201720162015201420132012201120102009
6.458.009.349.834.0217.535.825.905.724.502.634.011.005.522.70
-----0.130.740.730.970.783.080.740.070.720.70
----0.180.142.792.7638.503.68-1.522.911.162.562.28
62.5376.5075.5787.2681.3597.9590.0781.7485.2285.7874.1462.5269.3783.8656.98
-292.59-408.63-437.76-278.00-383.9257.65-19.38-68.22-12.73-8.21-80.67-173.91-173.39-17.77-132.25
-292.59-408.63-437.76-278.00-383.9257.65-19.38-68.22-12.73-8.21-80.67-173.91-173.39-17.77-132.25
-199.03-394.48-423.87-268.73-382.3858.56-14.59-58.94-7.16-1.77-71.08-156.04-152.47-7.36-111.57
-306.54-396.48-513.49-290.32-383.9357.21-31.22-92.27-34.96-27.12-107.28-211.17-186.01-23.30-142.88
-306.31-399.98-514.03-290.65-384.4757.09-31.42-92.80-35.17-26.86-108.79-211.67-187.43-23.85-142.52
0.230.130.090.100.060.560.600.290.460.450.340.160.120.310.13
2.101.131.581.271.692.152.852.723.012.202.861.671.733.534.78
74.7915.394.533.933.1127.6161.3710.5511.5755.6466.8113.9914.486.3414.98
4.8823.7180.5692.8311713.225.9534.5931.556.565.4626.1025.2257.6124.36
-210.75-100.43-77.09-41.26-31.3639.67-110.09-174.21-1,262.67-148.40180-365.51-67.73-41.85-100.15
-210.75-126.90-86.87-44.41-33.1641.52-853.64-1,320.7511613497.36583-110.44-267.91-396.35
-69.36-51.82-46.89-28.88-22.2931.69-19.00-26.99-16.28-12.21-37.28-34.52-22.09-7.28-17.81
-210.75-100.43-77.09-41.26-31.3634.68-29.03-46.30-32.57-32.58-375.50-93.59-63.08-11.76-30.50
0.681.943.665.987.969.900.550.580.050.28-0.770.411.730.961.10
-1.01-1.62-2.25-1.75-1.883.99-0.52-0.84-0.55-1.12-0.33-1.13-1.01-0.590.43
-1.01-1.58-2.33-1.80-2.033.92-0.58-0.88-0.64-1.20-0.37-1.22-1.09-0.930.21

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
5.156.106.457.668.708.208.007.146.346.979.347.058.068.899.838.259.293.794.0212.6014.0914.9417.5313.9319.674.165.824.143.974.855.903.704.025.235.721.383.734.604.504.023.543.842.632.572.603.214.014.991.691.551.001.076.359.165.523.853.393.072.706.047.027.52
-------------------0.140.140.130.130.120.120.810.740.740.990.850.731.381.191.000.970.030.780.630.780.731.371.083.081.601.431.020.740.590.090.080.070.060.480.450.720.680.680.690.700.690.640.60
-----------------0.200.180.170.160.150.140.140.134.212.792.9473.275.552.76-3.65-6.34-909.9538.503.393.801.743.682.76-3.71-13.46-1.52-2.67-3.33-51.822.911.441.721.411.161.000.920.822.562.172.132.232.282.211.801.48
58.5360.5669.5148.5165.8867.3171.7078.9576.3078.5975.3678.6972.9475.6681.5781.4588.1892.4682.3183.1478.4880.7281.2782.7799.4982.5289.7896.2974.0175.2182.3780.6476.4884.9478.7688.7253.5192.2467.7993.0682.0960.0171.2378.8685.2049.3165.5360.7469.5951.4965.4781.3953.0371.1277.4183.5388.5187.0777.4240.0020.0942.07
-211.90-163.72-140.30-185.82-246.84-623.83-238.25-229.85-708.07-469.58-451.48-455.82-389.00-462.60-471.92-343.12-159.09-264.23-323.78-337.94-475.96-427.63-251.83-355.2889.51-228.15-25.1845.44-146.45-220.14-85.83-90.55-116.96-16.11-74.580.70-191.8239.56-191.7360.45-80.37-184.12-115.25-10.71-96.29-196.07-205.15-178.69-113.95-211.33-218.40-78.83-197.70-299.73-45.33-16.414.39-10.10-14.09-282.29-234.68-312.00
-211.90-163.72-140.30-185.82-246.84-623.83-238.25-229.85-708.07-469.58-451.48-455.82-389.00-462.60-471.92-343.12-159.09-264.23-323.78-337.94-475.96-427.63-251.83-355.2889.51-228.15-25.1845.44-146.45-220.14-85.83-90.55-116.96-16.11-74.580.70-191.8239.56-191.7360.45-80.37-184.12-115.25-10.71-96.29-196.07-205.15-178.69-113.95-211.33-218.40-78.83-197.70-299.73-45.33-16.414.39-10.10-14.09-282.29-234.68-312.00
--------------------------------------------------------------
-222.73-170.23-176.29-190.10-249.62-634.81-256.75-250.60-736.47-363.66-582.39-520.02-441.80-519.62-499.00-361.49-163.48-273.76-330.42-337.07-472.60-423.41-251.22-349.5589.67-251.27-35.2439.94-172.81-257.74-111.50-118.57-147.94-32.83-137.41-13.53-231.6431.28-239.5153.32-113.78-232.71-147.77-26.84-125.64-238.44-250.44-235.31-144.37-228.27-233.03-88.58-209.57-317.60-49.25-22.24-1.14-17.52-19.10-304.28-248.50-328.91
-222.93-170.07-176.17-189.85-249.39-634.52-271.03-249.94-736.94-364.16-582.37-520.47-443.06-520.01-499.54-361.56-163.78-274.16-331.24-337.41-473.03-423.90-246.60-346.3189.31-251.96-35.4339.80-173.09-258.27-112.68-118.96-148.32-33.11-137.51-13.68-232.3731.08-233.6553.14-114.46-233.68-153.02-27.16-126.24-239.36-250.29-236.51-144.76-228.97-237.58-88.92-209.92-318.91-49.83-22.97-1.21-18.44-19.68-302.92-246.91-327.54
0.070.050.060.050.040.040.030.030.030.020.020.020.020.020.020.020.030.030.020.010.010.010.020.010.470.080.190.260.070.050.070.090.070.120.080.130.050.220.040.280.060.040.070.160.080.050.040.030.040.030.030.040.030.020.090.080.080.060.070.020.030.02
0.670.530.450.820.340.350.320.260.300.350.390.350.520.340.280.430.460.270.470.360.380.460.660.360.460.620.910.420.820.470.590.650.750.790.740.651.040.670.490.790.360.610.670.850.240.630.400.430.490.620.430.470.830.281.410.540.500.491.360.691.030.42
19.645.9819.8210.9515.367.213.682.052.160.821.110.860.980.810.600.701.031.200.920.710.630.660.920.8730.802.4419.0446.158.4115.802.392.551.181.481.9720.216.1637.715.422.889.3610.6613.9713.375.616.313.644.712.081.663.202.102.055.231.816.834.514.318.131.621.531.68
4.5815.044.548.225.8612.4824.4443.9341.7211080.9410591.7211114912987.0574.8097.8112714413797.651042.9236.954.731.9510.705.7037.6835.2976.2960.6545.604.4514.622.3916.6031.219.628.446.446.7316.0614.2724.7119.1243.1754.1728.1642.9443.9317.2149.8613.1819.9720.8711.0855.7358.7153.72
-65.71-29.05-32.12-28.76-25.96-56.89-16.28-14.32-34.68-14.87-21.43-16.18-13.87-12.36-10.88-9.27-6.37-10.69-7.98-6.62-7.08-7.32-5.72-5.3752.22-164.36-38.5172.33-1,768.27-142.72-47.8963.701247,089-842.08-21.00-150.0243.75-125.7415092.3047153.0132.921052,102-112.57-45.68-25.92-25.29-18.96-10.43-14.48-12.81-24.91-8.15-0.47-5.85-7.50-29.19-24.56-19.97
-65.71-29.05-32.12-28.76-25.96-56.89-20.57-17.59-41.62-17.01-24.15-17.89-15.15-13.40-11.71-9.92-6.78-11.37-8.44-6.98-7.45-7.68-5.98-5.6154.46526-298.6379581.89201-363.0329.9441.9925.4077.2621.911274,207114-241.1129.1853.5328.6413.0536.5269.59180-231.25-61.46-47.80-30.91-15.60-20.82-17.60-159.45-28.61-1.57-21.70-29.68-104.62-59.28-38.43
-15.25-9.29-10.57-10.36-10.34-24.39-8.40-7.56-18.45-8.83-13.04-10.16-9.15-8.44-7.62-7.20-5.02-7.34-5.67-4.72-5.25-5.52-4.57-4.2742.00-19.28-6.6510.46-12.58-12.08-7.42-10.17-10.50-3.96-10.86-1.83-11.536.77-10.3414.80-6.83-9.49-10.97-4.32-10.36-12.29-10.63-8.04-5.13-5.92-6.18-3.71-5.42-5.12-4.33-1.73-0.10-1.12-1.33-6.84-6.78-6.29
-65.71-29.05-32.12-28.76-25.96-56.89-16.28-14.32-34.68-14.87-21.43-16.18-13.87-12.36-10.88-9.27-6.37-10.69-7.98-5.68-6.11-6.36-5.00-4.7246.12-31.52-10.1618.51-24.07-22.00-12.73-24.38-23.59-7.95-21.72-20.31-32.3116.36-27.6139.76-34.12-37.80-110.46-19.75-45.31-41.36-28.82-18.71-23.57-23.30-17.65-9.78-7.55-7.03-7.00-2.57-0.15-1.81-2.28-9.10-8.78-8.07
0.430.690.680.841.041.271.942.192.453.263.664.344.925.465.986.537.037.297.968.478.909.389.9010.3410.790.360.550.540.020.290.58-0.49-0.290.000.050.290.270.590.280.37-0.28-0.08-0.77-0.43-0.35-0.020.410.831.151.421.732.022.202.470.961.131.161.121.101.141.411.72
-0.41-0.25-1.01-0.76-0.55-0.27-1.62-1.31-0.87-0.48-2.25-1.42-0.88-0.43-1.75-1.20-0.91-0.44-1.88-1.16-0.77-0.473.994.844.98-0.33-0.520.00-0.60-0.22-0.84-0.47-0.27-0.17-0.550.020.120.47-1.12-0.89-0.56-0.50-0.33-0.80-0.63-0.33-1.13-0.72-0.48-0.30-1.01-0.63-0.44-0.14-0.59-0.81-0.58-0.360.43-0.97-0.77-0.46
-0.41-0.25-1.01-0.76-0.55-0.28-1.58-1.34-0.90-0.50-2.33-1.47-0.91-0.44-1.80-1.23-0.93-0.45-2.03-1.29-0.87-0.503.924.824.97-0.33-0.58-0.04-0.64-0.25-0.88-0.50-0.30-0.19-0.64-0.050.090.46-1.20-0.93-0.60-0.54-0.37-0.81-0.63-0.33-1.22-0.77-0.51-0.32-1.09-0.70-0.50-0.17-0.93-1.04-0.67-0.410.21-1.09-0.85-0.51