Nuwellis Financial Ratios for Analysis 2010-2024 | NUWE

Fifteen years of historical annual and quarterly financial ratios and margins for Nuwellis (NUWE).

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
20232022202120202019201820172016201520142013201220112010
2.594.868.515.171.202.868.540.742.9510.0415.606.982.4415.78
--0.000.00----0.24-----
-0.000.000.00----0.63-----
56.2255.6656.7054.5251.7326.5722.2344.69100.00100.00100.00--100.00
-198.89-201.00-246.51-228.84-328.54-340.86-416.89-1,215.05-43,996.61-8,741.36-38,764.41---2,068.80
-198.89-201.00-246.51-228.84-328.54-340.86-416.89-1,215.05-43,996.61-8,741.36-38,764.41---2,068.80
-194.81-196.64-240.35-223.79-324.21-336.21-284.04-1,146.47-43,000.00-8,647.46-38,045.77---2,060.93
-227.90-169.92-246.75-212.70-328.54-340.66-376.47-1,229.33-45,266.11-8,757.97-38,933.90---2,031.94
-255.27-170.02-246.86-236.43-410.51-340.78-702.84-1,372.54-45,055.93-8,673.56-36,877.96---1,867.32
0.910.350.260.370.980.570.190.170.000.010.00--0.03
1.941.421.211.141.482.211.741.05------
4.546.0810.568.226.906.366.524.57-5.001.00--1.65
80.3460.0734.5644.3952.9257.4055.9979.85-73.00365--222
-675.89-117.54-75.36-97.05-910.25-286.93-82.41-898.80-218.41-87.58-42.06-108.62-352.39-62.87
-629.37-117.54-75.36-97.05-910.25-286.93-82.41702-218.41-87.58-42.06-108.62-352.39-62.87
-206.85-58.87-64.29-79.13-323.35-194.07-72.51-211.38-108.72-79.04-39.40-93.54-217.95-58.92
-629.37-117.54-75.28-96.73-910.25-286.93-82.41-704.37-165.61-87.58-42.06-108.62-352.39-62.87
19.768068,6405.9712.7711.5759.9257.4919.921.723.071.390.762.39
-319.33-3,044.17-258.85-10.06-202.26-36.04-248.33-493.70-38.06-1.34-1.36-1.84-2.41-2.50
-321.98-3,068.68-262.03-10.22-208.32-36.53-253.73-497.24-38.39-1.36-1.39-1.87-2.49-2.50

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-31
2.031.201.202.593.223.594.044.864.555.767.048.518.627.8310.165.176.873.524.101.202.063.915.862.865.575.087.288.542.133.310.790.740.471.782.492.954.747.4510.3310.0413.6315.0218.1115.6020.459.885.686.987.981.062.192.44----
---------0.000.000.000.000.000.000.000.000.00---------------0.350.280.240.210.190.14-----------------
----0.000.000.000.000.000.000.000.000.000.000.000.000.000.01---------------1.600.890.630.420.310.19-----------------
69.9667.1864.1454.4157.2655.2858.4356.9060.9748.0357.2254.4560.4460.2550.3756.0746.1164.3651.1750.7756.8750.2149.6334.3632.8720.8413.11-2.4118.2928.7042.9529.4965.56-----100.00100.00100.00-100.00-100.00-----------
-64.72-105.74-255.74-140.85-131.18-242.02-320.43-193.84-189.83-194.35-229.28-263.76-283.38-188.44-272.05-209.59-223.58-210.41-280.18-325.24-359.98-264.04-388.89-283.72-311.81-380.25-419.87-859.45-299.16-289.24-256.16-410.59-748.07------11,850.85-3,760.45-10,355.93--10,788.14--10,464.41-----------
-64.72-105.74-255.74-140.85-131.18-242.02-320.43-193.84-189.83-194.35-229.28-263.76-283.38-188.44-272.05-209.59-223.58-210.41-280.18-325.24-359.98-264.04-388.89-283.72-311.81-380.25-419.87-859.45-299.16-289.24-256.16-410.59-748.07------11,850.85-3,760.45-10,355.93--10,788.14--10,464.41-----------
--------------------------------------------------------
99.62-352.01-233.06-215.88-139.64-233.40-355.04-80.93-187.31-193.58-232.14-263.58-284.40-188.52-272.11-150.88-223.58-210.41-280.12-325.16-360.06-264.04-388.89-283.72-311.08-380.25-419.87-858.85-296.97-284.38-104.33-387.53-733.33------11,962.71-3,800.57-10,393.22--10,732.20--10,459.32-----------
99.62-352.10-204.04-310.74-139.72-233.49-355.15-81.06-187.41-193.67-232.24-261.69-284.51-188.64-273.93-150.98-223.74-210.52-388.04-325.46-360.14-264.16-760.08-283.92-311.15-380.44-419.87-2,253.55-297.49-284.49-104.33-643.57-721.36------11,971.19-3,809.61-10,393.22--10,732.20--10,228.81-----------
0.350.350.280.260.210.130.100.090.110.100.070.050.050.080.060.100.080.140.160.240.170.150.080.170.120.100.070.050.100.070.120.100.08-----0.000.010.00-0.00-0.00-----------
0.380.370.310.580.440.340.280.380.280.380.250.260.260.380.320.300.350.240.360.370.340.490.340.590.470.380.360.540.580.710.620.780.93-----------------------
1.831.701.511.311.691.761.401.661.881.692.032.191.732.132.092.261.821.902.241.712.371.801.951.911.731.691.581.521.231.402.222.654.89-----1.003.001.00-1.00-1.00-----------
49.1653.0059.4268.8353.1751.0164.1254.1047.9453.4044.4441.1151.9242.2443.1239.8549.5447.2540.1452.6037.9650.0246.0747.1951.9753.3957.1159.0373.3564.3840.5534.0218.40-----90.0030.0090.00-90.00-90.00-----------
74.22113-488.80-184.52-42.94-43.75-47.43-15.34-27.61-24.26-20.60-16.69-17.58-18.20-17.20-18.94-20.96-40.80-59.29-224.02-103.90-52.48-37.70-71.80-43.91-47.42-35.15-44.01-40.64-25.86-24.40-165.45-159.23-113.53-62.80-54.26-35.57-25.93-23.49-23.08-17.49-15.74-13.70-13.73-10.43-20.69-44.42-31.40-20.18-406.51-138.39-114.01----
74.22113-488.81-184.52-42.94-43.75-47.43-15.34-27.61-24.26-20.60-16.69-17.58-18.20-17.20-18.94-20.96-40.80-59.29-224.02-103.90-52.48-37.70-71.80-43.91-47.42-35.15-44.01-95.36-46.06195129177-113.53-62.80-54.26-35.57-25.93-23.49-23.08-17.49-15.74-13.70-13.73-10.43-20.69-44.42-31.40-20.18-406.51-138.39-114.01----
35.05-124.82-64.94-56.47-29.44-31.15-35.07-7.68-20.99-19.48-17.13-14.24-15.46-15.96-15.56-15.44-17.96-29.81-45.47-79.58-59.43-38.73-30.74-48.56-35.95-38.19-30.21-38.73-30.37-20.82-12.02-38.91-59.16-32.22-26.89-27.01-22.33-18.21-18.21-20.83-16.23-14.71-12.96-12.86-9.92-18.64-36.90-27.04-17.71-90.20-81.65-70.52----
74.22113-488.81-184.52-42.94-43.75-47.43-15.34-27.61-24.24-20.58-16.67-17.57-18.17-17.17-18.87-20.89-40.61-59.29-224.02-103.90-52.48-37.70-71.80-43.91-47.42-35.15-44.01-40.64-25.86-24.40-129.66-159.23-74.07-45.33-41.14-28.13-20.97-20.11-23.08-17.49-15.74-13.70-13.73-10.43-20.69-44.42-31.40-20.18-406.51-138.39-114.01----
1.70-13.254.5518.461472083968064,6515,8617,2048,6409,9483.984.655.977.440.220.2812.771.513.626.0611.571.361.952.9159.9211.150.771.2457.490.120.200.4119.921.011.341.651.722.072.402.743.073.441.651.041.391.770.100.470.76----
-5.98-13.71-15.92-319.33-285.05-299.30-189.61-3,044.17-4,003.33-2,918.75-1,607.39-258.85-6,742.76-1.41-1.66-10.06-6.43-6.94-10.04-202.26-140.33-3.87-6.10-36.04-23.73-26.41-17.49-248.33-14.01-15.36-20.43-493.70-411.00-14.90-9.31-38.06-0.99-0.70-0.40-1.34-1.03-0.71-0.40-1.36-0.92-0.64-0.44-1.84-1.24-1.09-0.77-2.40-1.73-1.22-0.550.00
-6.01-13.84-16.08-321.98-288.52-300.98-190.01-3,068.68-4,037.63-2,945.72-1,630.70-262.03-6,836.85-1.43-1.68-10.22-6.53-6.99-10.07-208.32-145.61-3.94-6.15-36.53-24.09-26.79-17.68-253.73-14.34-15.41-20.43-497.24-414.33-14.95-9.32-38.39-1.00-0.71-0.41-1.36-1.04-0.71-0.40-1.39-0.93-0.64-0.44-1.87-1.26-1.10-0.79-2.49-1.74-1.23-0.55-