Oncternal Therapeutics Financial Ratios for Analysis 2009-2024 | ONCT

Fifteen years of historical annual and quarterly financial ratios and margins for Oncternal Therapeutics (ONCT).

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
6.948.7616.9920.142.834.905.785.271.061.533.325.9813.1711.383.18
---------------
---------------
100.00100.00100.00100.00100.00100.00------100.00100.0091.24
-5,313.89-3,016.58-726.91-519.76-1,365.28-300.91-------445.0726.59-316.92
-5,313.89-3,016.58-726.91-519.76-1,365.28-300.91-------445.0726.59-316.92
-5,521.91-3,021.61-726.91-519.76-1,365.28-300.91-------532.17-61.84-382.47
-5,029.17-2,964.43-726.14-510.37-1,409.81-260.97-------440.1328.99-315.64
-5,029.17-2,964.43-726.14-510.37-1,409.81-260.97-------412.7726.93-314.03
0.020.020.050.030.110.11------0.100.880.26
--------------11.12
------------8.2283.1424.76
------------44.394.3914.74
-131.37-72.45-35.56-15.25-238.8822.20-79.56-89.11-1,006.11-221.05-394.15-85.81-48.1631.82529
-131.37-72.45-35.56-15.25-238.8822.20-79.78-89.66-1,086.12-227.05-406.40-86.63-48.6433.00370
-107.49-64.34-33.48-14.50-157.23-29.96-65.83-72.34-58.39-77.81-269.86-70.85-44.0125.62-80.14
-131.37-72.45-35.56-15.25-238.8822.20-79.56-89.11-1,006.08-221.05-394.15-85.81-48.1631.82529
10.1921.2135.6646.2918.60-157.5324917518.541782371,0631,6021,400-336.24
-10.94-13.96-10.78-17.23-32.43-41.31-188.26-199.73-189.76-492.00-975.96-826.90-807.38-1,099.04-1,767.86
-10.94-13.96-10.78-17.23-32.43-41.31-188.27-200.59-189.80-492.09-945.06-408.98-808.70-1,102.46-1,790.92

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.894.666.948.2510.3710.558.769.8110.7816.0716.9917.1018.2419.7620.143.012.002.262.833.553.8112.394.904.316.043.565.786.002.603.945.274.626.198.801.061.100.561.521.535.384.986.443.324.223.935.355.986.228.0911.8613.1716.4218.9816.0411.384.895.554.823.183.133.934.57
--------------------------------------------------------------
--------------------------------------------------------------
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00-------------------------84.46-83.9597.7985.2183.3385.6799.7395.4690.4488.7290.42
-1,106.49-1,542.88-3,244.44-5,804.47-9,004.72-5,981.77-6,967.83-2,964.66-6,175.39-1,328.69-1,453.24-452.87-870.89-796.66-180.05-751.28-888.44-821.97-567.30-909.74-3,207.72-501.701,591-587.84-166.40--------------------------607.23--649.24-31.17-485.10-661.96-1,390.4878.24-297.44-357.47-296.60-317.82
-1,106.49-1,542.88-3,244.45-5,804.47-9,004.72-5,981.77-6,967.83-2,964.66-6,175.39-1,328.69-1,453.24-452.87-870.89-796.66-180.05-751.28-888.44-821.97-567.30-909.74-3,207.72-501.701,591-587.84-166.40--------------------------607.23--649.24-31.17-485.10-661.96-1,390.4878.24-297.44-357.47-296.60-317.82
--------------------------------------------------------------
-1,068.54-1,474.17-3,085.52-5,509.50-8,458.49-5,658.62-6,666.66-2,912.30-6,147.12-1,327.61-1,451.98-452.54-869.99-795.19-160.92-751.28-888.44-819.72-563.91-899.26-3,389.61-488.091,697-576.90-157.96--------------------------603.50--648.81-27.92-417.12-661.65-1,384.0678.37-296.95-356.11-294.61-316.58
-1,068.54-1,474.17-3,085.52-5,509.50-8,458.49-5,658.62-6,666.66-2,912.30-6,147.12-1,327.61-1,451.98-452.54-869.99-795.19-160.92-751.28-888.44-819.72-563.91-899.26-3,389.61-488.091,697-576.90-157.96--------------------------603.50--648.81-27.92-417.12-661.65-1,384.0678.37-295.76-356.11-294.61-311.24
0.030.020.010.000.000.000.000.010.000.010.010.020.010.010.010.020.030.030.030.020.020.020.030.010.03-------------------------0.02-0.020.170.030.040.021.070.060.060.050.04
--------------------------------------------------1.71-1.851.251.560.991.082.291.442.283.755.90
--------------------------------------------------1.80-1.8213.672.642.552.531096.189.652.883.05
--------------------------------------------------49.88-49.466.5834.0635.3535.520.8314.569.3331.2529.55
-54.33-36.59-30.49-26.66-19.84-21.89-18.70-16.23-15.87-12.35-9.16-10.19-7.49-5.49-2.26-27.99-57.67-45.58-29.04-26.95-99.61-11.02-38.10-6.13-6.05-54.78-24.25-18.26-75.51-44.08-34.51-55.83-32.818.89-173.92809153-15.00-81.58-46.49-71.60-35.83-72.91-52.76-51.71-34.89-22.37-11.68-21.72-19.48-14.86-12.61-11.90-5.15-14.56-47.68-50.87119125-53,446.03-96.27-51.75
-54.33-36.59-30.49-26.66-19.84-21.89-18.70-16.23-15.87-12.35-9.16-10.19-7.49-5.49-2.26-27.99-57.67-45.58-29.04-26.95-99.61-11.07-38.10-6.15-6.07-55.01-24.32-18.30-76.56-44.45-34.72-56.40-33.048.94-187.751,008150-15.41-83.79-48.85-74.65-36.78-75.18-54.33-52.91-35.59-22.58-11.72-21.81-19.55-15.01-12.65-11.93-5.17-15.10-53.24-55.0113287.67336-144.88-63.39
-35.87-28.78-24.95-22.83-17.66-19.71-16.61-14.61-14.40-11.59-8.63-9.60-7.09-5.21-2.15-18.66-29.29-26.67-19.11-19.53-73.93-10.1351.40-4.71-5.05-39.46-20.06-15.23-46.86-33.01-28.01-43.90-27.547.89-10.0992.29-114.55-5.21-28.72-37.91-57.19-30.16-49.92-39.73-38.23-28.15-18.47-9.70-18.99-17.80-13.58-11.82-11.26-4.82-11.72-27.59-32.5383.87-18.99-19.71-14.16-12.20
-54.33-36.59-30.49-26.66-19.84-21.89-18.70-16.23-15.87-12.35-9.16-10.19-7.49-5.49-2.26-27.99-57.67-45.58-29.04-26.95-99.61-11.02-38.10-6.13-6.05-54.78-24.25-18.26-75.51-44.08-34.51-55.83-32.818.89-173.91809153-15.00-81.58-46.49-71.60-35.83-72.91-52.76-51.71-34.89-22.37-11.68-21.72-19.48-14.86-12.61-11.90-5.15-14.56-47.68-50.87119125-53,416.66-96.27-51.75
5.327.7510.1912.5515.3917.8821.2124.6928.3832.4535.6638.2341.5243.8846.2914.0511.0713.5118.6023.5929.85121-157.5318023215424930374.0012417512218223418.5442.99-312.151581781952814672373755498021,0631,3351,1521,3761,6021,8162,0011,3631,4006919781,433-336.240.92449839
-4.48-2.51-10.94-8.73-6.89-3.75-13.96-10.22-6.29-3.48-10.78-8.09-5.51-2.44-17.23-13.50-10.17-5.26-32.43-17.86-29.19-19.77-41.31-28.52-29.57-70.79-188.26-119.24-90.36-45.45-199.73-153.07-91.49-46.59-189.76-134.05-98.28-46.82-492.00-436.32-333.66-170.17-975.96-804.58-561.65-309.98-826.90-602.56-411.01-234.24-737.55-547.29-448.32-249.75-925.74-1,120.97-789.65-393.69-1,767.57-1,524.86-1,071.41-588.28
-4.48-2.51-10.94-8.73-6.89-3.75-13.96-10.22-6.29-3.48-10.78-8.09-5.51-2.44-17.23-13.50-10.17-5.26-32.43-17.86-29.19-19.77-41.31-28.52-29.57-70.79-188.27-119.24-90.36-45.45-200.59-153.95-91.57-46.67-189.80-134.08-98.32-46.82-492.09-436.41-333.73-170.26-945.06-805.29-562.36-310.62-408.98-605.34-412.93-234.24-738.75-548.29-449.40-250.18-928.63-1,124.35-792.92-396.88-1,790.62-1,541.08-1,080.94-591.86