InspireMD Financial Ratios for Analysis 2011-2024 | NSPR

Fifteen years of historical annual and quarterly financial ratios and margins for InspireMD (NSPR).

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
202320222021202020192018201720162015201420132013201220122011
7.344.218.534.142.513.912.081.810.681.11-4.680.254.034.03
---------0.602.21---0.480.48
-------0.66-1.78-3.19---0.930.93
29.1221.6016.773.3420.3227.6321.195.39-12.8127.82-53.15-46.7446.74
-340.74-361.88-327.39-417.71-263.80-211.36-298.15-403.80-627.06-840.95--309.32--328.01-327.86
-340.74-361.88-327.39-417.71-263.80-211.36-298.15-403.80-627.06-840.95--309.32--328.01-327.86
-337.00-358.25-323.80-411.63-259.55-207.14-291.71-393.72-616.62-831.62--305.05--325.76-327.86
-319.92-357.05-330.88-424.14-269.18-201.06-304.64-446.67-674.50-890.10--600.25--328.72-328.72
-320.97-357.59-331.88-424.31-269.82-201.06-471.86-446.73-674.68-890.53--600.41--328.98-328.98
0.130.210.110.140.380.290.450.200.410.25-0.23-0.330.33
2.092.503.271.702.402.304.083.583.461.06-1.43-1.581.58
2.534.153.242.633.824.393.253.444.222.84-2.29-2.562.56
14488.0211313995.4483.1211210686.43129-159-142142
-50.42-106.31-44.49-86.69-186.51-82.62-309.43-209.17529900--181.70--326.7240.25
-50.42-106.31-44.49-86.69-186.51-82.62-309.42-209.17514709--192.26420-326.72-326.72
-41.80-75.01-37.57-59.31-101.62-58.92-138.17-89.92-273.76-219.00--141.04-677.35-109.89-109.89
-50.42-106.31-44.49-86.69-186.51-82.62-309.42-209.17844-1,091.56--181.70--169.14-169.14
1.812.094.043.7020.611711.8494.16-9.39-0.67-0.48-0.32-
-0.67-1.97-1.80-6.00-70.37-247.07-21.85-184.19-41.60-5.470.00-0.490.00-0.510.00
-0.69-2.03-1.85-6.05-72.41-249.25-22.55-185.40-41.65-5.51--0.50--0.53-

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-30
7.447.907.349.9610.463.814.216.236.268.848.5310.7811.9416.144.145.194.882.092.514.123.713.023.915.523.322.102.082.263.084.241.812.070.250.470.681.141.642.141.110.811.272.29-3.874.680.65-3.56-
-----------------------------------0.601.360.570.432.21-15.841.680.68-----1.15-
------------------------------0.660.59-0.77-1.26-1.78-10.923.021.49-3.19-1.52-3.552.73----2.17--7.51-
19.0319.3328.6828.1529.7830.1019.3025.5828.1510.3121.308.5925.2410.54-246.8430.41-38.3428.5325.5713.6332.64-17.5927.6225.7527.6229.1025.3021.3122.9713.01-17.396.4011.4811.72-26.3614.08-30.95-7.7645.29-27.84-202.5957.83-51.6844.5355.48-54.81-
-474.99-490.67-329.81-362.40-322.32-353.59-481.09-322.15-305.75-379.21-284.86-376.38-331.41-329.42-2,353.17-223.98-781.47-195.45-247.38-212.67-161.23-754.22-268.37-257.35-146.86-193.94-173.74-290.39-358.44-422.50-650.31-374.84-327.04-360.57-506.01-539.72-521.61-1,025.16-511.15-2,373.99-3,748.71-373.48--250.32-281.00-212.09--644.60-
-474.99-490.67-329.81-362.40-322.32-353.59-481.09-322.15-305.75-379.21-284.86-376.38-331.41-329.42-2,353.17-223.98-781.47-195.45-247.38-212.67-161.23-754.22-268.37-257.35-146.86-193.94-173.74-290.39-358.44-422.50-650.31-374.84-327.04-360.57-506.01-539.72-521.61-1,025.16-511.15-2,373.99-3,748.71-373.48--250.32-281.00-212.09--644.60-
-------------------------------------------------
-454.80-465.39-303.24-332.78-307.88-343.50-469.49-316.49-302.81-378.78-293.62-380.11-337.86-322.37-2,436.08-227.86-792.33-191.30-250.05-220.45-162.92-772.77-269.22-261.51-62.51-237.24-176.62-290.53-358.44-449.56-704.35-425.37-360.37-399.82-552.52-575.79-568.61-1,089.31-549.54-2,488.65-3,917.10-401.35--253.99-998.00-323.84--1,473.28-
-454.80-465.39-306.93-332.78-307.88-343.50-472.22-316.49-302.81-378.78-296.88-380.11-337.86-322.37-2,438.61-227.86-792.33-191.30-252.42-220.45-162.92-772.77-269.22-261.51-62.51-237.24-730.10-290.53-358.44-449.74-704.35-425.37-360.37-400.00-553.10-576.11-566.13-1,092.66-550.57-2,481.69-3,918.14-402.70--254.19-996.47-322.66--1,474.66-
0.030.040.040.030.030.060.040.050.050.030.030.030.020.020.010.060.020.140.100.080.150.040.070.060.110.140.140.100.070.050.030.040.180.130.090.060.050.030.080.030.010.08-0.090.070.15-0.04-
0.640.520.600.610.690.510.510.750.760.830.950.860.580.760.390.490.310.610.610.630.750.340.520.701.141.381.170.981.151.500.761.201.240.970.870.500.730.290.250.210.390.47-0.540.520.34-0.11-
0.990.900.721.110.930.720.821.041.130.980.990.960.951.220.171.090.551.001.040.961.190.641.000.870.921.020.981.021.050.860.580.690.960.750.940.730.740.480.880.290.210.76-0.600.710.63-0.34-
90.9399.4712581.4497.2612510986.3579.6091.6090.5993.4595.2073.8153882.3816389.6586.4594.1275.5814189.7810397.9088.6691.7388.3786.0610415413193.6712095.41123121188103310426119-149128144-262-
-16.91-20.04-13.68-11.97-10.85-31.70-27.86-20.71-18.01-15.09-12.22-10.98-8.59-7.38-31.68-19.80-18.77-56.89-47.50-26.22-39.58-56.86-25.25-18.36-15.30-228.83-54.97-55.19-39.95-33.17-56.07-32.0338.2166.3396.88634-163.22-96.79172106270-165.18--30.33-92.83143-997-
-16.91-20.04-13.68-11.97-10.85-31.70-27.86-20.71-18.01-15.09-12.22-10.98-8.59-7.38-31.68-19.80-18.77-56.89-47.50-26.22-39.58-56.86-25.25-18.36-15.30-228.83-54.97-55.46-40.13-33.31-56.07-32.2937.7464.9094.10543-194.09-104.5513594.45210-214.99--32.51-98.22143-988-
-14.21-16.73-11.34-10.35-9.47-21.36-19.65-16.14-14.15-12.74-10.32-9.56-7.56-6.67-21.67-14.31-13.98-26.78-25.88-17.81-23.76-31.89-18.01-14.43-6.62-32.79-24.55-29.33-25.76-24.34-24.10-16.02-64.44-53.06-50.13-37.30-28.59-29.41-41.80-68.50-54.18-30.60--22.30-72.05-49.90--55.15-
-16.91-20.04-13.68-11.97-10.85-31.70-27.86-20.71-18.01-15.09-12.22-10.98-8.59-7.38-31.68-19.80-18.77-56.89-47.50-26.22-39.58-56.86-25.25-18.36-15.30-228.83-54.97-55.19-39.95-33.17-56.07-32.0338.2166.33155-231.47-70.06-54.73-208.351,788-184.94-52.53--30.33-92.83144--153.81-
1.861.501.812.022.211.612.092.623.093.574.044.695.165.603.704.695.9412.0120.6134.2459.8296.971712244762241.840.510.771.1394.164.65-0.48-0.32-9.39-0.080.030.07-0.67-0.18-0.080.11-0.380.48----
-0.26-0.15-0.67-0.36-0.39-0.60-1.97-1.58-0.93-0.53-1.80-1.33-0.80-0.59-6.00-2.96-4.54-7.64-70.37-74.97-69.17-62.24-247.07-106.71-441.64-592.00-21.85-20.01-13.87-24.48-184.19-2.40-6.23-5.80-41.60-30.76-0.93-0.93-5.47-4.13-0.24-0.110.00-0.23-0.15-0.150.00-0.140.00
-0.28-0.15-0.69-0.36-0.39-0.60-2.03-1.62-0.95-0.53-1.85-1.36-0.81-0.60-6.05-2.97-4.54-7.64-72.41-77.07-70.96-63.41-249.25-107.26-444.75-592.33-22.55-20.76-14.39-25.84-185.40-2.41-6.26-5.80-41.65-30.80-0.93-0.93-5.51-4.16-0.25-0.11--0.23-0.15-0.16--0.14-