Nevro Financial Ratios for Analysis 2012-2024 | NVRO

Fifteen years of historical annual and quarterly financial ratios and margins for Nevro (NVRO).

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
6.377.116.463.155.987.117.619.967.7718.639.469.30
0.420.370.330.270.430.380.370.360.080.10--
0.720.580.500.800.740.620.580.550.080.11--
68.2268.0168.7669.0268.7670.5769.7066.9959.6065.3859.6958.53
-23.361.52-28.67-17.36-24.72-10.78-9.05-10.10-89.60-86.90-107.03-105.40
-23.361.52-28.67-17.36-24.72-10.78-9.05-10.10-89.60-86.90-107.03-105.40
-21.294.46-22.61-10.88-21.22-10.10-8.32-9.45-89.38-86.35-104.53-102.22
-23.021.05-33.81-22.70-26.16-12.51-10.79-13.20-95.20-92.72-109.16-103.61
-21.690.74-33.95-22.94-26.57-12.71-11.22-13.91-96.88-94.64-111.35-105.04
0.670.670.670.460.830.840.720.530.240.160.310.37
1.141.301.291.351.331.241.010.890.450.760.940.79
5.365.155.494.664.714.804.854.333.094.933.563.10
68.1470.9066.4978.3077.4776.0175.1884.3711874.07103118
-31.460.93-43.27-21.38-47.92-20.04-14.71-12.76-28.74-17.8330.3230.69
-40.510.93-43.27-21.38-47.92-20.04-14.71-12.76-28.74-17.83-38.57-43.49
-14.510.50-22.86-10.52-22.08-10.62-8.07-7.38-23.16-15.15-34.50-38.62
-18.270.59-28.88-15.67-27.53-12.37-9.30-8.21-26.51-16.01-38.57-43.49
8.069.128.6711.236.868.118.388.628.346.9260.2240.50
-1.640.69-1.200.04-1.63-0.19-0.49-2.05-3.78-7.01-24.05-45.48
-1.870.48-1.56-0.14-1.74-0.46-0.63-2.17-3.97-7.16-24.12-45.54

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302012-12-31
5.024.777.386.376.556.857.157.117.056.656.976.467.207.533.003.153.103.256.795.985.876.056.307.118.058.067.997.618.7811.0711.919.9611.8313.1710.497.7711.8818.1713.9818.636.15-----
0.400.400.440.420.400.390.380.370.360.450.440.330.320.290.280.270.270.270.430.430.440.440.420.380.380.380.380.370.370.370.370.360.360.350.080.080.070.070.110.10------
0.810.800.770.720.660.640.620.580.570.810.770.500.470.410.860.800.810.810.750.740.800.780.720.620.620.610.610.580.590.590.580.550.550.550.090.080.080.080.120.11------
66.6764.7770.2070.1366.9368.4267.0966.0968.9869.7967.2767.2869.3468.3970.3071.1170.1462.5169.2271.0569.8368.3464.7770.5570.3270.6970.7570.9670.4469.0567.7569.2468.4365.9962.3961.4461.2551.7659.9268.9168.4266.4955.00-60.15-
-14.31-24.12-35.17-10.15-24.61-23.56-37.71-17.0081.70-22.83-37.30-25.51-49.83-15.40-25.41-0.80-3.27-62.71-26.37-10.21-15.96-28.38-51.44-7.97-9.66-8.54-17.92-2.22-5.37-12.74-19.07-8.89-3.07-10.69-21.65-39.68-114.98-167.94-127.71-73.14-74.97-99.14-108.66--86.51-
-14.31-24.12-35.17-10.15-24.61-23.56-37.71-17.0081.70-22.83-37.30-25.51-49.83-15.40-25.41-0.80-3.27-62.71-26.37-10.21-15.96-28.38-51.44-7.97-9.66-8.54-17.92-2.22-5.37-12.74-19.07-8.89-3.07-10.69-21.65-39.68-114.98-167.94-127.71-73.14-74.97-99.14-108.66--86.51-
----------------------------------------------
-15.54-18.54-24.56-13.39-22.48-22.28-36.03-16.5581.61-23.75-38.87-29.40-53.65-20.90-32.97-6.21-9.01-72.74-28.10-11.59-17.40-29.56-53.24-9.37-11.20-10.65-19.82-4.00-7.12-14.39-20.82-13.10-5.64-15.38-21.50-41.03-124.56-171.40-144.05-84.47-89.39-96.80-104.49--78.82-
-15.83-18.79-24.94-7.73-22.61-22.72-36.36-16.8681.13-23.98-39.08-29.32-53.73-21.10-33.36-6.50-9.21-72.82-28.45-12.02-17.82-29.95-53.65-8.90-11.78-11.05-20.21-4.40-7.57-14.88-21.20-13.93-6.38-15.85-22.30-42.84-126.31-172.76-145.52-85.70-91.47-99.30-106.53--81.59-
0.160.170.170.180.180.190.170.190.170.200.160.180.160.170.110.140.140.070.190.240.220.210.180.230.210.210.200.220.190.190.160.160.150.130.150.110.050.040.050.050.15-----
0.270.290.250.290.280.290.280.390.320.340.320.360.310.380.310.380.380.230.290.360.330.320.310.350.300.300.260.290.250.280.260.250.260.280.230.200.140.210.210.200.23-----
1.371.401.321.461.511.571.471.441.441.561.391.461.471.571.341.411.381.001.351.381.411.401.191.341.291.451.401.461.541.461.351.341.491.501.431.471.461.501.321.471.53-----
65.5764.1867.9461.4959.7857.4061.4162.4062.3257.7864.6061.7261.2857.4867.1963.7065.3290.4366.5665.1863.6264.4975.6467.2569.6461.8664.3661.8258.4461.7966.8467.4060.3359.8762.7561.1961.5059.8468.1361.2458.93-----
-5.61-7.14-9.12-3.06-8.22-8.39-11.63-5.9325.08-10.87-14.28-9.93-15.69-6.02-8.07-1.84-2.63-10.97-11.57-6.35-9.01-13.90-20.59-3.91-4.61-4.32-7.30-1.73-2.55-4.82-5.98-3.95-1.57-3.56-4.06-6.05-7.96-7.54-8.84-4.837.44-----
-7.30-9.31-11.90-3.95-8.22-8.39-11.63-5.9325.08-10.87-14.28-9.93-15.69-6.02-8.07-1.84-2.63-10.97-11.57-6.35-9.01-13.90-20.59-3.91-4.61-4.32-7.30-1.73-2.55-4.82-5.98-3.95-1.57-3.56-4.06-6.05-7.96-7.54-8.84-4.83-16.65-----
-2.58-3.24-4.26-1.41-4.18-4.34-6.10-3.1913.46-4.77-6.44-5.24-8.60-3.60-3.81-0.90-1.28-5.45-5.41-2.93-3.99-6.25-9.62-2.07-2.50-2.36-3.98-0.95-1.42-2.76-3.47-2.28-0.93-2.13-3.38-4.87-6.76-6.63-7.31-4.10-14.05-----
-3.35-4.30-5.15-1.78-4.96-5.13-7.17-3.7615.94-6.00-8.05-6.62-10.70-4.28-5.79-1.34-1.92-8.02-6.59-3.65-5.01-7.83-11.96-2.41-2.85-2.69-4.55-1.09-1.61-3.04-3.79-2.54-1.01-2.30-3.74-5.58-7.37-7.02-7.87-4.34-16.65-----
7.317.377.598.067.898.178.449.129.176.506.838.679.1510.2810.5611.2311.0310.926.726.866.396.537.038.118.108.168.108.388.258.188.298.628.668.658.088.348.759.416.396.9229.93-----
-1.02-1.10-0.90-1.64-1.38-1.22-0.820.691.02-1.17-0.81-1.20-0.77-0.33-0.200.04-0.31-0.65-0.16-1.63-1.19-1.09-0.71-0.19-0.36-0.17-0.21-0.49-0.40-0.59-0.47-2.05-1.50-1.44-1.07-3.78-2.51-1.59-0.68-7.01-16.54-13.27-7.530.00-17.790.00
-1.23-1.25-0.97-1.87-1.57-1.35-0.900.480.88-1.25-0.86-1.56-1.07-0.53-0.27-0.14-0.41-0.71-0.19-1.74-1.25-1.13-0.73-0.46-0.62-0.39-0.38-0.63-0.48-0.65-0.50-2.17-1.59-1.50-1.11-3.97-2.67-1.66-0.69-7.16-32.16-13.43-7.63--17.79-