NeuroMetrix Financial Ratios for Analysis 2009-2024 | NURO

Fifteen years of historical annual and quarterly financial ratios and margins for NeuroMetrix (NURO).

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
16.8121.7917.713.101.581.761.992.294.674.116.415.274.488.168.67
--0.01---------0.000.000.00
--0.01--------0.000.000.000.00
66.8969.6571.7571.1524.2245.8940.1240.8645.8853.4158.4352.6254.5849.2871.17
-121.18-57.43-27.68-28.39-124.40-76.39-76.54-126.44-181.87-159.09-139.40-132.30-96.21-124.53-26.66
-121.18-57.43-27.68-28.39-124.40-76.39-76.54-126.44-181.87-159.09-139.40-132.30-96.21-124.53-26.66
-122.53-57.76-26.76-27.17-123.06-75.34-75.01-124.35-178.82-156.45-136.55-128.38-92.59-120.77-24.45
-110.64-53.50-27.64-28.36-40.690.15-75.23-123.99-125.86-140.88-151.91-132.11-96.00-122.39-45.60
-110.64-53.50-27.64-28.36-40.690.15-115.46-289.00-288.64-194.49-166.44-132.11-96.00-121.52-45.60
0.280.330.330.921.351.151.781.450.450.480.490.700.730.600.64
1.251.553.302.026.043.044.785.683.633.783.904.302.682.921.65
11.3712.7726.5522.0719.0014.8616.2916.289.049.5013.5013.3711.438.737.86
32.0928.5913.7516.5419.2124.5722.4122.4240.3938.4227.0327.2931.9441.8246.45
-32.50-18.91-9.83-39.87-149.120.39-256.29-300.62-73.13-229.29-111.45-113.72-90.01-83.62-33.37
-32.50-18.91-9.83-39.87-149.120.39-256.29-300.62-73.13-229.29-111.45-113.72-90.01-84.50-33.64
-30.48-17.90-9.17-26.17-54.730.17-133.96-180.03-57.07-68.11-74.27-92.00-70.19-73.23-29.38
-32.50-18.91-9.70-39.87-149.120.39-256.29-300.62-73.13-229.29-111.45-113.72-89.87-83.47-33.34
13.1724.0327.8011.0714.4566.101484741,9871,0643,0984.1117.055.231.56
-5.84-5.94-3.25-5.49-29.9316.48-594.89-2,020.37-3,083.13-2,818.61-9.16-4.79-10.55-20.81-2.20
-6.02-5.97-3.45-5.49-30.3315.66-602.56-2,033.83-3,223.07-2,902.05-9.28-4.84-10.73-21.29-2.32

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
13.8811.6210.9116.8116.4318.4216.2921.7912.7915.5114.8117.7114.726.343.343.103.053.061.691.581.701.832.581.763.012.772.531.991.932.123.412.292.954.743.514.673.384.462.484.115.236.404.706.415.015.314.455.275.096.327.524.485.227.577.628.167.247.818.118.677.945.115.47
-----0.01-----0.01------------------------------------0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
-----0.01-----0.01---------------------------------0.000.000.000.000.000.000.000.000.000.020.000.000.000.000.000.000.000.00
53.1263.9647.2864.3564.9867.6069.4866.5964.7667.9177.9068.2769.9774.7873.2673.7273.6063.6071.4562.2456.21-33.5125.5846.8950.3348.0140.2142.0342.4538.7637.3545.4640.0540.6134.8441.5845.5251.4350.3353.2455.2551.2353.8161.1456.0056.8159.3455.5855.0155.4245.4849.1454.8456.8456.782.1360.5263.5263.6670.5471.1371.3871.57
-296.61-237.75-297.56-140.93-162.98-98.05-99.15-46.36-87.04-56.60-41.78-55.19-33.33-24.03-2.79-18.02-12.66-62.72-30.29-97.19-67.63-202.26-118.52-75.66-73.16-84.95-72.85-58.50-99.05-78.23-76.97-77.09-117.13-157.79-184.43-121.31-163.42-272.61-253.99-170.69-140.38-194.93-130.69-98.23-121.66-183.28-160.92-123.13-148.11-125.86-132.43-102.56-95.14-94.98-93.09-145.47-103.52-117.60-134.14-30.39-30.41-27.58-18.89
-296.61-237.75-297.56-140.93-162.98-98.05-99.15-46.36-87.04-56.60-41.78-55.19-33.33-24.03-2.79-18.02-12.66-62.72-30.29-97.19-67.63-202.26-118.52-75.66-73.16-84.95-72.85-58.50-99.05-78.23-76.97-77.09-117.13-157.79-184.43-121.31-163.42-272.61-253.99-170.69-140.38-194.93-130.69-98.23-121.66-183.28-160.92-123.13-148.11-125.86-132.43-102.56-95.14-94.98-93.09-145.47-103.52-117.60-134.14-30.39-30.41-27.58-18.89
---------------------------------------------------------------
-256.80-193.45-277.04-125.18-147.01-92.83-91.27-37.45-81.62-54.25-41.63-55.11-33.28-24.02-2.77-18.00-12.63-62.64-30.27-61.91-67.27-142.7965.66-75.1629.6215.3023.59-58.43-98.94-75.12-75.07-75.74-115.30-154.70-179.99-98.97-155.94-98.22-161.44-206.38-102.37-161.54-91.97-264.14-54.48-115.97-160.79-122.96-147.91-125.67-132.23-102.39-94.95-94.75-92.85-137.22-103.11-117.30-133.585.84-146.44-26.64-17.82
-256.80-193.45-277.04-125.18-147.01-92.83-91.27-37.45-81.62-54.25-41.63-55.11-33.28-24.02-2.77-18.00-12.63-62.64-30.27-61.91-67.27-142.7965.66-75.1629.6215.3023.59-58.43-178.82-75.12-168.92-75.74-115.30-904.35-179.99-403.34-155.94-388.08-161.44-206.38-102.37-381.49-91.97-264.14-54.48-182.06-160.79-122.96-147.91-125.67-132.23-102.39-94.95-94.75-92.85-137.22-99.59-117.30-133.585.84-146.44-26.64-17.82
0.030.040.050.060.060.070.070.070.080.080.090.070.080.210.280.230.240.160.350.250.250.220.220.270.280.320.450.510.400.510.390.450.300.180.180.170.160.080.140.120.110.090.140.130.140.100.160.140.130.140.110.170.160.140.140.130.120.120.100.150.150.260.25
0.190.190.390.300.250.340.300.380.660.790.710.820.620.540.590.450.510.420.540.550.851.520.930.690.700.801.591.331.141.792.251.621.751.500.981.471.040.491.000.971.011.080.920.971.060.660.720.811.010.910.930.680.580.640.631.240.300.290.260.400.370.380.38
3.942.742.332.541.962.222.992.862.803.903.375.863.234.844.515.413.222.313.833.501.233.243.213.442.273.373.114.708.384.384.535.035.938.054.633.392.282.081.392.432.332.522.513.592.122.062.632.692.894.252.392.592.582.432.321.931.471.401.171.871.831.951.91
22.8532.8338.6535.4345.9640.5930.0731.5132.1223.0626.7115.3727.8918.5819.9516.6327.9838.9823.5125.7373.1927.7728.0226.1439.6626.7428.9319.1610.7520.5619.8517.8915.1711.1819.4326.5639.5143.2564.6537.0538.5635.6935.8725.0942.3943.5934.2233.4731.1821.1637.6334.6934.9136.9938.8446.7461.3264.4476.9248.0949.0846.1947.01
-9.44-8.59-16.15-8.21-8.89-7.18-7.15-2.96-7.31-4.95-3.95-4.32-2.84-6.02-1.14-6.21-4.79-15.52-26.15-41.76-39.31-69.2125.03-45.9612.267.4317.09-57.40-77.67-69.30-41.17-56.73-50.69-35.42-46.26-21.56-37.73-10.35-123.17-85.89-23.57-28.52-20.25-51.48-12.33-20.90-32.68-21.28-24.66-21.14-17.34-21.79-18.53-15.80-15.28-20.83-14.12-16.62-15.131.02-60.60-8.52-5.47
-9.44-8.59-16.15-8.21-8.89-7.18-7.15-2.96-7.31-4.95-3.95-4.32-2.84-6.02-1.14-6.21-4.79-15.52-26.15-41.76-39.31-69.2125.03-45.9612.267.4317.09-57.40-77.67-69.30-41.17-56.73-50.69-35.42-46.26-21.56-37.73-10.35-123.17-85.89-23.57-28.52-20.25-51.48-12.33-20.90-32.68-21.28-24.66-21.14-17.34-21.79-18.53-15.80-15.45-21.05-14.26-16.77-15.251.03-61.80-8.65-5.55
-8.77-7.86-14.66-7.70-8.31-6.75-6.67-2.80-6.68-4.59-3.65-4.03-2.61-4.94-0.77-4.07-3.08-9.90-10.59-15.33-16.51-31.0914.74-20.038.334.8610.63-30.00-40.00-38.62-29.15-33.97-34.44-28.09-33.27-16.83-24.78-7.50-22.68-25.51-10.77-14.13-12.95-34.30-7.38-11.76-25.34-17.22-19.77-17.68-15.01-16.99-15.05-13.72-13.29-18.24-12.15-14.45-13.210.90-21.66-6.82-4.44
-9.44-8.59-16.15-8.21-8.89-7.13-7.15-2.96-7.31-4.95-3.95-4.26-2.84-6.02-1.14-6.21-4.79-15.52-26.15-41.76-39.31-69.2125.03-45.9612.267.4317.09-57.40-77.67-69.30-41.17-56.73-50.69-35.42-46.26-21.56-37.73-10.35-123.17-85.89-23.57-28.52-20.25-51.48-12.33-20.90-32.68-21.28-24.65-21.13-17.33-21.76-18.49-15.78-15.26-20.79-14.12-16.61-15.121.02-60.43-8.50-5.45
7.868.589.4413.1718.5419.9722.6324.0324.6226.2527.6827.8029.1714.0111.0911.0711.3511.6011.9214.4529.2339.7378.8766.1096.2483.9676.421481682265754749281,5051,2911,9871,5772,7055051,0641,9982,8822,6033,0982.052.573.054.110.831.021.2417.053.380.660.765.231.041.181.371.560.671.501.60
-2.59-1.72-1.15-5.84-4.35-2.61-1.17-5.94-4.34-1.81-0.86-3.25-2.15-1.09-0.07-5.49-4.96-4.86-4.19-29.93-29.12-16.112.4116.4820.5518.3712.12-594.89-372.48-406.18-268.05-2,020.37-1,433.23-1,119.46-566.08-3,083.13-2,029.72-1,724.44-817.95-2,818.61-1,745.65-1,469.23-694.09-9.16-1.96-1.60-0.85-4.79-3.32-2.21-1.87-10.55-1.38-0.90-0.48-20.81-3.00-0.39-0.21-2.20-0.29-0.29-0.26
-2.59-1.72-1.15-6.02-4.48-2.61-1.17-5.97-4.37-1.82-0.87-3.45-2.32-1.25-0.12-5.49-4.96-4.89-4.19-30.33-29.45-16.182.4115.6619.9417.6211.97-602.56-375.23-408.50-268.05-2,033.83-1,444.23-1,127.48-570.56-3,223.07-2,155.17-1,864.57-872.16-2,902.05-1,769.12-1,476.65-695.87-9.28-1.97-1.60-0.85-4.84-3.36-2.23-1.89-10.73-1.41-0.92-0.49-21.29-3.04-0.39-0.21-2.32-0.30-0.30-0.26