Notable Labs Financial Ratios for Analysis 2012-2024 | NTBL

Fifteen years of historical annual and quarterly financial ratios and margins for Notable Labs (NTBL).

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
202320222021202020192018201720162015201420132012
5.651.485.534.294.3610.837.729.739.2812.882.68-
0.02---0.00-----4.16-
0.02--0.000.01------1.32-
36.45100.0052.4757.2760.5059.8397.55-----
-4,728.06-161,550.00-3,905.73-2,655.42-3,573.31-3,625.13-76.85-----
-4,728.06-161,550.00-3,905.73-2,655.42-3,573.31-3,625.13-76.85-----
-4,645.16-157,512.50-3,742.19-2,525.92-3,356.41-3,427.52-75.73-----
-3,633.55-180,087.50-3,895.83-2,627.44-3,451.25-3,497.09-73.12-----
-3,633.55-180,087.50-3,895.83-2,627.44-3,451.25-3,497.09-73.12-----
0.020.000.010.020.010.010.21-----
------------
---7.15--6.93-----
---51.07--52.65-----
-74.5338.97-59.15-78.35-53.84-38.53-18.14-37.74-42.53-49.5973.63-
-74.5338.97-59.15-78.36-53.84-38.53-18.14-37.74-42.53-49.5973.65-
-57.64-261.42-46.27-58.09-39.58-33.72-15.43-33.85-37.94-45.64-146.87-
-73.2538.97-59.15-78.36-53.70-38.53-18.14-37.74-42.53-49.59-232.97-
1.68-38.1125.7422.4335.1051.7465.4255.1154.4761.68-41.64-
-4.15-17.75-13.17-18.72-12.75-16.63-4.88-18.78-22.73-85.15-418.08-414.23
-4.17-17.66-13.94-18.76-12.83-18.99-13.15-19.47-22.88-85.50-419.10-419.17

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302012-12-31
2.774.665.658.054.633.481.482.824.054.215.536.756.745.554.295.166.414.114.365.496.458.3510.8311.4610.446.597.725.866.479.229.7313.1212.738.589.285.579.6811.9612.881.50-----
0.030.020.02---------------0.00--------------------------
0.040.030.02-----0.010.01----0.00---0.01--------------------------
100.00-----76.6286.9046.8851.3351.5354.2752.6651.3553.1731.6186.7160.3817.4662.0363.7782.6566.6756.4457.2258.90-------------------
-269,000.00------2,542.92-1,928.28-15,021.88-9,348.67-4,648.98-3,272.86-4,268.09-3,430.81-3,497.07-3,016.58-3,712.03-1,537.43-4,681.75-6,301.27-3,494.20-2,001.37-2,924.82-5,581.19-2,306.67-4,474.85-------------------
-269,000.00------2,542.92-1,928.28-15,021.88-9,348.67-4,648.98-3,272.86-4,268.09-3,430.81-3,497.07-3,016.58-3,712.03-1,537.43-4,681.75-6,301.27-3,494.20-2,001.37-2,924.82-5,581.19-2,306.67-4,474.85-------------------
---------------------------------------------
-260,950.00------2,250.00-1,906.45-14,740.63-9,228.32-4,646.43-3,267.34-4,270.21-3,396.22-3,542.93-2,994.30-3,690.51-1,462.30-4,498.41-6,146.84-3,398.55-1,909.59-2,746.81-5,299.01-2,252.22-4,404.29-------------------
-260,950.00------2,250.00-1,906.45-14,740.63-9,228.32-4,646.43-3,267.34-4,270.21-3,396.22-3,542.93-2,994.30-3,690.51-1,462.30-4,498.41-6,146.84-3,398.55-1,909.59-2,746.81-5,299.01-2,252.22-4,404.29-------------------
0.000.00-----0.120.010.000.000.000.000.000.000.000.000.000.010.000.000.000.000.000.000.000.00-------------------
---------------------------------------------
--------------1.591.571.341.59---------------------------
--------------56.6357.3667.2256.56---------------------------
-72.63-32.62-3.24-5.82-17.86-31.52-39.56-36.24-27.45-24.37-18.01-13.20-14.80-17.62-23.49-15.55-13.71-17.03-15.73-11.80-10.31-8.43-7.29-9.45-6.64-14.2611.28-21.77-13.88-13.20-11.33-6.85-6.61-15.49-9.03-24.16-10.01-9.20-14.63-116.31-----
-72.63-32.62-3.24-5.82-17.86-31.52-39.56-36.24-27.45-24.37-18.01-13.20-14.80-17.62-23.49-15.55-13.71-17.03-15.73-11.80-10.31-8.43-7.29-9.45-6.64-14.2611.28-21.77-13.88-13.20-11.33-6.85-6.61-15.49-9.03-24.16-10.01-9.20-14.63-116.01-----
-47.43-24.14-2.51-5.10-13.94-22.31265-25.81-20.82-18.53-14.08-10.63-11.92-13.35-17.41-12.07-11.07-12.43-11.57-9.14-8.20-6.94-6.38-8.34-5.82-11.879.60-18.61-11.88-11.78-10.16-6.33-6.09-13.68-8.05-19.84-8.97-8.41-13.47-40.50-----
-70.43-31.95-3.19-5.82-17.86-31.52-39.56-36.24-27.45-24.37-18.01-13.20-14.80-17.62-23.49-15.55-13.71-17.03-15.69-11.80-10.31-8.43-7.29-9.45-6.64-14.2611.28-21.77-13.88-13.20-11.33-6.85-6.61-15.49-9.03-24.16-10.01-9.20-14.63-116.01-----
0.741.281.688.279.549.98-38.1112.6917.3321.5825.7427.7930.8922.8722.4327.1431.0530.2235.1040.10--51.74---65.42---55.11---54.47---61.68------
-0.77-0.39-4.15-3.41-6.01-3.01-17.75-11.21-8.16-3.75-13.17-9.13-5.89-4.03-18.72-12.05-10.47-5.76-12.75-8.82-5.13-2.87-16.63-12.36-9.64-4.31-4.88-18.39-14.15-7.38-18.78-13.01-10.66-6.18-22.73-15.84-9.09-3.80-85.15-273.29-188.02-104.010.000.000.00
-0.77-0.40-4.17-0.08-6.04-3.02-17.66-11.58-8.54-3.95-13.94-9.60-6.10-4.17-18.76-12.09-10.49-5.77-12.83-8.87-5.18-2.91-18.99-14.48-11.32-5.82-13.15-23.53-15.60-7.46-19.47-13.52-11.19-6.28-22.88-15.91-9.15-3.84-85.50-274.48-189.45-104.70---