OpGen Financial Ratios for Analysis 2013-2024 | OPGN

Fifteen years of historical annual and quarterly financial ratios and margins for OpGen (OPGN).

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
20232022202120202019201820172016201520142013
0.141.012.002.291.351.320.731.082.150.280.71
-0.390.150.480.130.250.090.040.15-0.040.58
-0.941.570.530.960.370.570.930.430.21-0.932.08
-2.65-31.3233.858.6853.3637.2633.5743.1250.9976.9424.39
-899.53-1,325.79-540.48-539.06-350.75-447.35-475.42-472.20-476.90-134.86-428.54
-899.53-1,325.79-540.48-539.06-350.75-447.35-475.42-472.20-476.90-134.86-428.54
-860.95-1,262.78-477.45-483.66-324.41-422.54-454.58-455.90-457.12-120.95-400.86
-955.69-1,429.96-807.28-618.79-355.75-453.72-480.20-476.11-553.60-137.44-420.43
-955.69-1,429.96-974.74-621.93-355.75-453.72-480.20-484.37-557.23-152.64-643.32
1.820.100.060.080.340.330.490.450.231.550.76
-2.552.302.593.453.404.003.311.872.5710.37
33.095.073.676.456.167.883.977.424.658.199.97
11.0372.0199.3856.5659.2446.3292.0249.1878.4444.5836.63
282-492.15-84.44-123.69-289.90-404.02-1,100.60-605.11-231.6470.32553
283-27,704.65-180.96768-432.92-823.892,788-2,026.79-349.51162-9,144.56
-1,735.59-144.44-48.57-52.68-119.43-149.36-232.92-213.34-126.14-213.62-320.84
283-300.03-71.92-64.53-252.15-303.39-1,007.04-578.35-196.88168-2,514.94
-9.0126.121771691541,5310.623.130.60-7.110.47
-18.18-83.76-117.14-296.14-1,423.06-36.95-9.10-24.42-1.79-13.91-440.90
-19.19-86.18-127.95-297.79-1,423.38-37.41-9.27-24.60-1.81-14.01-447.37

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-31
0.050.050.140.280.581.241.011.111.401.762.001.557.226.512.291.741.783.491.350.310.891.371.321.562.132.450.731.230.290.581.081.062.481.282.153.604.090.190.28----
-----0.370.390.230.130.190.150.160.340.300.480.520.470.030.13-0.910.320.180.250.220.160.030.090.03-1.230.160.040.050.130.280.150.100.02-0.04-0.04----
-0.97-1.01-0.943.441.341.121.570.890.550.650.530.640.520.430.961.191.000.090.37-1.200.980.410.570.490.310.160.930.37-0.922.310.430.460.210.470.210.130.04-0.93-0.93----
24955.51-10.111.01-24.7721.1025.73-324.2031.5531.3339.8631.2740.8020.5729.19-42.9018.6732.8656.4429.2655.3864.2039.0229.1638.7739.5735.5233.2332.9431.9532.6240.5357.8838.5457.8331.3772.5455.3575.7672.3880.8478.67-
-5,526.11-1,037.96-1,585.15-510.09-700.46-555.05-1,376.87-3,011.57-545.10-1,244.45-405.92-410.50-756.33-754.62-445.90-584.42-548.46-647.47-304.98-528.44-255.65-368.76-484.64-584.95-412.72-356.39-295.55-428.99-595.84-641.48-468.25-632.60-423.95-415.73-362.59-474.51-813.97-535.93-122.82-189.37-135.23-108.64-
-5,526.11-1,037.96-1,585.15-510.09-700.46-555.05-1,376.87-3,011.57-545.10-1,244.45-405.92-410.50-756.33-754.62-445.90-584.42-548.46-647.47-304.98-528.44-255.65-368.76-484.64-584.95-412.72-356.39-295.55-428.99-595.84-641.48-468.25-632.60-423.95-415.73-362.59-474.51-813.97-535.93-122.82-189.37-135.23-108.64-
-------------------------------------------
-5,629.82171-1,593.10-581.23-791.61-628.02-1,459.91-3,143.21-603.84-1,448.39-474.76-488.79-873.14-1,789.84-515.98-726.33-629.06-640.15-306.81-537.23-256.85-377.69-491.78-589.51-422.39-360.20-299.19-438.68-598.41-645.00-472.90-638.13-427.19-418.54-365.41-476.04-1,428.40-549.59-126.56-192.72-135.87-109.39-
-5,629.82121-1,593.10-581.23-791.61-628.02-1,459.91-3,143.21-603.84-1,448.39-980.56-488.79-873.14-1,789.84-525.77-726.33-629.06-640.15-306.81-537.23-256.85-377.69-491.78-589.51-422.39-360.20-299.19-438.68-598.41-645.00-472.90-638.13-455.31-418.54-355.52-476.21-1,447.80-585.96-125.31-213.71-151.98-119.49-
0.010.060.570.040.030.030.030.010.020.010.020.020.010.010.030.020.030.030.080.100.110.080.080.060.070.060.150.080.140.130.110.080.090.110.100.060.030.180.42----
---0.580.530.460.402.470.550.240.690.630.360.460.640.510.330.950.760.980.790.730.850.740.791.001.201.080.810.820.980.540.590.720.680.580.300.660.78----
1.104.4310.351.651.191.371.400.671.311.771.221.651.721.712.072.505.143.721.451.721.311.252.031.751.531.431.221.591.712.041.861.701.361.681.961.771.755.132.23----
81.6520.328.6954.4375.7565.7064.1513368.6950.9474.0254.5552.4052.7243.4636.0617.5324.2162.2752.3868.9071.7544.3351.4458.9262.9173.5356.7652.7044.2348.5052.9266.3253.6345.9450.8351.3517.5340.43----
13.50-2.66147-151.79-84.95-62.51-139.07-101.19-21.35-19.91-16.53-18.19-17.83-32.26-33.55-44.94-39.92-28.04-58.65224-141.93-88.80-112.80-80.79-52.08-32.78-211.61-86.92197-898.46-150.28-148.01-63.79-138.46-63.11-39.10-60.7029.4417.43----
13.51-2.6614797.531,682-322.49-7,828.50-728.03-77.80-53.15-35.42-56.91-43.52-65.48208109167-29.29-87.58114-943.84-141.67-230.03-143.01-72.78-41.12536-187.9199.58311-503.35-491.44-90.41-541.71-95.23-48.16-60.7063.6540.16----
-54.9310.03-905.38-22.40-25.97-21.64-40.81-42.79-11.97-10.59-9.50-9.72-10.34-19.76-14.29-17.17-16.15-19.98-24.16-54.16-29.03-31.87-41.70-35.30-27.48-20.86-44.78-35.46-84.31-80.85-52.98-50.63-36.48-46.55-34.37-27.48-45.42-98.00-52.96----
13.51-2.66147-151.79-84.95-39.47-84.78-78.15-18.61-16.15-14.08-15.22-11.73-22.68-17.51-21.40-20.96-27.31-51.01426-95.98-72.90-84.71-63.07-43.68-31.73-193.62-84.24438-751.96-143.63-140.12-55.13-99.55-53.64-35.22-59.2866.3141.76----
-8.65-8.29-9.012.679.8416.7026.1257.67117147177174208241169173212226154-352.954149841,5310.631.061.760.620.07-0.070.023.130.150.410.260.600.950.82-8.27-7.11----
-1.35-0.81-18.18-14.40-15.55-10.84-83.76-69.06-50.25-21.69-117.14-92.45-65.64-33.68-296.14-172.18-119.87-63.43-1,423.06-1,826.75-1,320.67-1,278.71-36.95-27.47-0.95-0.55-9.10-5.95-6.80-4.28-24.42-0.62-0.64-0.30-1.79-0.90-0.71-3.490.00-10.77-7.18-3.620.00
-1.35-0.81-19.19-15.31-16.67-11.56-86.18-69.84-50.60-21.86-127.95-101.99-74.64-39.46-297.79-172.21-119.89-63.46-1,423.38-1,836.58-1,319.63-1,281.81-37.41-27.58-0.95-0.55-9.27-6.03-6.95-4.31-24.60-0.62-0.64-0.30-1.81-0.91-0.72-3.51--10.88-7.27-3.69-