Organovo Holdings Financial Ratios for Analysis 2010-2025 | ONVO

Fifteen years of historical annual and quarterly financial ratios and margins for Organovo Holdings (ONVO).

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
20242023202220212020201920182017201620152014201220112011201120102010
2.124.6421.3553.2615.6510.3210.0410.8314.1810.7725.970.720.520.40---
----------0.000.00-----
---------0.000.00-0.01-0.38----
100.00100.00100.00-85.0684.4177.6277.40100.00100.00100.00100.0087.51----
-13,840.37-4,792.16-765.27--977.91-882.37-766.26-911.94-2,605.73-5,305.96-5,448.29-778.53-237.87----
-13,840.37-4,792.16-765.27--977.91-882.37-766.26-911.94-2,605.73-5,305.96-5,448.29-778.53-237.87----
-13,583.49-4,712.97-755.80--925.91-850.66-738.74-884.78-2,556.98-5,125.75-5,260.95-614.29-95.98----
-13,457.80-4,664.05-763.07--851.91-861.60-756.05-908.37-2,600.94-5,268.30-6,820.05-3,638.51-452.32----
-13,459.63-4,664.60-763.20--852.00-861.70-756.09-908.91-2,601.15-5,268.30-6,820.05-3,638.51-452.32----
0.020.020.05-0.080.080.090.060.020.010.010.070.69----
-----0.981.221.74----0.41----
3.302.43--19.785.544.486.545.73--7.39-----
111150--18.4565.8981.5255.8363.75--49.40-----
-407.42-112.59-37.90-42.93-70.26-73.38-78.06-61.65-62.04-61.78-53.538212392,304---
-407.41-112.59-37.90-42.93-70.26-73.38-78.06-61.65-62.04-61.78-53.538212392,304---
-231.08-84.97-34.38-42.15-65.79-65.57-69.85-55.58-57.08-56.24-51.50-260.03-311.07-3,457.71---
-407.41-112.59-37.90-42.93-70.26-73.38-78.06-61.65-62.04-61.78-53.538242392,304---
4.2921.1141.6354.2748.9770.2796.41143162143148-21.75-19.63-0.23---
-19.24-17.10-11.66-23.17-27.58-42.40-64.60-71.68-78.30-59.09-51.08-53.93-20.04-3.860.000.000.00
-19.29-17.64-12.22-23.86-26.19-42.56-65.10-74.97-83.90-63.66-51.99-55.92-20.53-3.86---

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
2024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-09-302010-06-302010-03-31
0.721.983.582.123.675.196.614.6415.7117.5420.9921.3515.5420.4838.0353.2624.2429.6130.5415.6513.1910.4810.5610.3210.9912.1913.1810.0411.7012.9315.6910.8316.2012.7217.6014.1812.8714.1016.6510.7713.5817.7114.8325.9717.4218.281.75--8.4310.359.75-0.11---19.15-
-----------------------------------------0.000.000.000.000.000.00--0.00---------
--------------------------------------0.000.000.000.000.000.000.000.000.00--0.00---------
91.6796.6794.87100.00100.00-100.00100.00100.00100.00----------95.6478.5492.3785.1582.5486.7482.5874.3983.3581.2569.6077.4681.5871.4481.14100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00--100.00100.00--100.00-----
-14,450.00-8,693.33-8,682.05-10,675.87-73,600.00--5,593.33-4,801.85-2,564.12-4,355.84-----------1,756.38-555.04-976.20-1,053.24-837.74-637.22-1,099.71-686.24-685.95-706.94-1,030.30-1,316.26-836.75-688.88-985.07-1,538.50-3,192.07-3,748.84-2,764.05-2,985.02-4,490.97-17,912.00-6,474.75-5,814.78-3,426.67-24,356.52-3,522.64---771.43-559.85100.00--268.32-100.00---
-14,450.00-8,693.33-8,682.05-10,675.87-73,600.00--5,593.33-4,801.85-2,564.12-4,355.84-----------1,756.38-555.04-976.20-1,053.24-837.74-637.22-1,099.71-686.24-685.95-706.94-1,030.30-1,316.26-836.75-688.88-985.07-1,538.50-3,192.07-3,748.84-2,764.05-2,985.02-4,490.97-17,912.00-6,474.75-5,814.78-3,426.67-24,356.52-3,522.64---771.43-559.85---268.32-----
-----------------------------------------------------------
-14,362.50-8,496.67-8,569.23-10,500.00-72,080.01--5,368.00-4,604.32-2,491.60-4,312.99-----------1,130.87-511.54-946.56-1,026.03-821.44-618.98-1,076.78-673.94-675.72-698.23-1,020.40-2,389.16-832.49-686.19--1,527.74-3,187.50-3,739.87-2,773.86-2,920.60-4,511.61-17,716.00-6,497.98-5,637.39-3,857.78-45,156.52-3,557.55--8,204-13,662.16-30,900.48--347.13--272.22---
-14,362.50-8,496.67-8,574.36-10,500.00-72,080.01--5,370.67-4,604.32-2,491.60-4,312.99-----------1,130.87-511.71-946.56-1,026.91-821.44-618.98-1,076.34-674.12-675.72-698.23-1,020.40-1,312.44-832.41-686.19-983.95-1,527.74-3,187.50-3,739.87-2,774.84-2,920.60-4,511.61-17,716.00-6,497.98-5,637.39-3,857.78-45,156.52-3,557.55--8,204-13,662.16-30,900.48--347.13--272.22---
0.010.000.000.000.00-0.010.010.010.00---------0.000.010.030.020.020.020.020.020.020.020.020.020.010.020.020.020.010.000.000.000.010.000.000.000.000.000.000.01--0.050.030.01-63.94-3.20---
-0.000.00------------------0.750.100.210.130.120.110.340.320.510.650.330.650.880.33------------------------
0.921.030.810.880.15-0.501.071.72----------0.001.811.991.051.221.161.020.951.070.801.151.281.261.122.278.652.121.991.672.32--1.671.65-19.29----4.91---------
97.5087.00111102594-17984.4452.21-----------49.8345.2985.8273.8577.5288.5795.0983.7311278.5170.1871.7180.5439.6410.4042.5445.2753.8238.82--54.0054.55-4.67----18.32---------
-947.00-69.27-50.20-84.56-58.30-47.23-34.21-48.66-14.64-13.28-11.63-6.33-11.18-10.25-6.78-6.62-12.10-44.78-11.17-10.24-11.64-20.24-17.50-19.24-17.94-15.02-17.93-16.71-16.03-18.17-17.64-17.09-13.51-17.99-15.99-13.46-15.14-14.78-9.95-16.01-14.48-16.58-14.68-13.43-10.69-20.00-54.59---140.3149.31--2,819-----
-946.98-69.27-50.20-84.56-58.30-47.23-34.21-48.66-14.64-13.28-11.63-6.33-11.18-10.25-6.78-6.62-12.10-44.78-11.17-10.24-11.64-20.24-17.50-19.24-17.94-15.02-17.93-16.71-16.03-18.17-17.64-17.09-13.51-17.99-15.99-13.46-15.14-14.78-9.95-16.01-14.48-16.58-14.68-13.43-10.69-20.00-54.59---140.3149.31--2,819-----
-89.67-37.74-35.31-47.96-40.58-35.79-27.30-36.72-13.01-11.90-10.53-5.74-9.97-9.77-6.61-6.50-11.64-43.35-10.81-9.59-10.76-16.65-14.55-17.19-16.12-13.69-16.45-14.95-14.55-16.62-16.37-15.40-12.58-16.41-14.90-12.39-14.03-13.78-9.38-14.58-13.43-15.67-13.71-12.92-10.09-18.92-25.99--425-364.44---22,195.21-----
-946.98-69.27-50.20-84.56-58.30-47.23-34.21-48.66-14.64-13.28-11.63-6.33-11.18-10.25-6.78-6.62-12.10-44.78-11.17-10.24-11.64-20.24-17.50-19.24-17.94-15.02-17.93-16.71-16.03-18.17-17.64-17.09-13.51-17.99-15.99-13.46-15.14-14.78-9.95-16.01-14.48-16.58-14.68-13.43-10.69-19.99-54.49---140.4149.31--2,819-----
0.262.885.564.297.5411.6416.2221.1130.7034.4538.1141.6343.1547.1751.5254.2735.0035.6445.5648.9753.2757.2066.6070.2772.7381.0187.6296.4110711713014316413414316217919822214314416013414815116225.54---140.19-393.60-205.43--1.01-2.18-4.82-
-4.94-3.75-2.44-19.24-15.78-11.65-7.31-17.10-10.57-6.38-3.33-11.66-9.53-4.90-1.95-23.17-19.62-17.77-4.73-27.58-21.48-20.43-11.23-42.40-31.59-23.90-15.13-64.60-51.99-37.95-24.43-71.68-52.11-38.41-22.20-78.30-56.74-38.78-18.21-59.09-41.73-29.43-10.33-51.08-31.59-20.66-9.870.000.00-17.88-10.38-27.020.00-18.780.00-5.03-0.790.00-0.75
-4.95-3.76-2.44-19.29-15.84-11.71-7.33-17.64-10.90-6.65-3.43-12.22-10.02-5.21-2.22-23.86-20.11-17.76-4.72-26.19-20.14-20.38-11.23-42.56-31.66-23.92-15.12-65.10-52.19-38.08-24.46-74.97-54.63-39.58-22.23-83.90-61.15-42.77-21.49-63.66-44.32-31.19-11.06-51.99-32.07-21.24-10.47---18.95-10.79-27.06--19.10--5.03-0.79--0.75