Pacira BioSciences Financial Ratios for Analysis 2009-2024 | PCRX

Fifteen years of historical annual and quarterly financial ratios and margins for Pacira BioSciences (PCRX).

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
5.243.371.662.573.797.886.965.421.691.530.884.302.591.900.87
0.370.460.480.340.460.480.500.33---0.280.283.08-28.57
0.600.891.440.750.860.910.990.500.480.602.400.380.53-1.55-0.97
72.6470.1174.1072.6974.6574.2569.3360.1671.1560.8235.9817.77-6.6915.7018.03
12.999.0016.6110.792.494.72-8.70-11.593.80-2.61-62.29-126.13-249.23-155.95-190.24
12.999.0016.6110.792.494.72-8.70-11.593.80-2.61-62.29-126.13-249.23-155.95-190.24
24.7423.8026.6620.1710.8112.890.20-5.2610.254.80-50.41-110.17-211.79-128.01-160.71
9.141.9910.424.68-2.55-0.13-14.82-13.690.85-6.85-75.22-133.77-276.17-186.44-211.30
6.222.397.7533.87-2.62-0.14-14.87-13.730.75-6.94-74.70-133.77-276.17-186.44-211.30
0.430.400.260.340.510.490.460.710.640.610.500.350.140.220.34
1.772.071.421.811.831.792.123.521.172.653.522.6613.457.657.11
6.396.785.628.108.868.889.059.239.638.845.868.987.4312.2310.31
57.0853.8664.9245.0641.2141.1240.3139.5437.9041.3062.2540.6449.1629.8535.39
4.822.055.7523.48-3.10-0.15-15.25-17.330.85-8.01-154.93-79.39-89.7656.11138
18.7622.34-108.3834.35-7.29-0.18-19.00-22.030.99-9.33-214.72-96.19-100.7447.3892.91
2.660.952.0211.42-1.33-0.07-6.78-9.690.48-4.21-37.63-46.66-38.18-40.79-72.14
3.031.112.9915.60-1.67-0.08-7.67-11.580.85-8.01-154.93-57.42-64.86-116.614,086
18.7216.8716.3314.208.477.796.875.845.934.731.232.021.90-84.29-39.98
2.983.122.761.761.701.190.450.900.680.75-1.32-2.31-1.89-43.34-36.36
2.682.481.750.901.450.84-0.040.23-0.300.10-1.69-2.91-2.26-55.13-45.97

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
6.825.815.244.783.943.813.374.063.952.191.663.643.473.102.577.636.465.373.793.954.758.627.888.668.588.666.966.997.849.815.421.601.711.701.691.601.581.611.531.471.610.810.880.957.6710.164.304.296.573.252.592.433.073.261.90----
0.400.360.370.380.400.410.460.480.490.510.480.310.320.330.340.440.450.450.460.470.470.470.480.490.490.500.500.510.510.500.33-------------0.620.580.280.240.210.390.280.600.470.393.08----
0.670.580.600.630.680.720.890.971.001.301.440.670.690.720.750.780.810.830.860.870.870.900.910.950.981.010.991.031.030.990.500.500.470.470.480.500.530.570.600.660.682.802.401.991.641.370.380.310.260.670.531.841.100.81-1.55----
75.1471.6373.6975.7571.5569.4363.9969.7470.1277.1775.5072.8774.0073.6673.0574.4770.4671.8773.9478.6975.4470.1074.7977.1575.1369.3373.0772.9366.4364.5267.6036.8766.9069.0371.9774.4468.0069.8569.3060.8257.6950.5645.2536.4140.411.697.45-9.4445.8416.77-55.8815.1414.335.074.5621.166.7421.70-
15.867.9118.3010.8123.53-1.93-5.7512.7118.4411.012.6524.6125.7016.3314.3415.00-9.4716.171.402.315.141.1812.894.857.78-9.3010.70-5.30-22.25-20.28-3.38-30.52-9.25-3.44-1.178.213.075.7312.82-1.89-6.03-25.25-29.26-55.09-70.07-160.91-151.47-185.08-53.68-142.71-347.54-220.75-234.63-184.36-275.63-142.34-184.22-96.47-
15.867.9118.3010.8123.53-1.93-5.7512.7118.4411.012.6524.6125.7016.3314.3415.00-9.4716.171.402.315.141.1812.894.857.78-9.3010.70-5.30-22.25-20.28-3.38-30.52-9.25-3.44-1.178.213.075.7312.82-1.89-6.03-25.25-29.26-55.09-70.07-160.91-151.47-185.08-53.68-142.71-347.54-220.75-234.63-184.36-275.63-142.34-184.22-96.47-
-----------------------------------------------------------
20.558.1618.6010.1322.34-16.51-10.511.2412.994.62-3.8918.9718.9210.699.695.23-9.688.10-2.89-5.561.10-2.768.75-0.843.09-14.275.86-11.22-27.79-28.63-5.48-32.37-11.34-5.84-3.765.410.082.259.67-5.77-10.68-31.30-35.62-63.56-81.86-203.50-156.42-185.54-67.21-152.41-360.94-240.34-241.01-253.04-321.31-174.32-223.01-112.71-
10.615.3713.726.6215.20-12.18-5.87-0.4111.734.32-3.2213.8314.078.7111.08111-9.637.72-3.99-5.812.66-3.038.71-0.773.05-14.325.81-11.28-27.83-28.67-5.45-32.42-11.43-5.89-3.604.960.012.169.39-5.77-10.68-31.30-35.62-63.56-81.86-199.69-156.42-185.54-67.21-152.41-360.94-240.34-241.01-253.04-321.50-174.32-223.01-112.71-
0.110.110.120.110.110.110.100.100.100.080.080.090.100.090.100.100.090.130.150.130.130.130.140.130.130.120.130.110.120.120.190.180.170.170.180.170.170.170.190.170.160.220.200.130.100.060.090.060.090.080.040.050.040.040.03----
0.430.490.460.410.520.530.640.520.500.350.400.520.540.490.550.440.330.500.550.370.480.580.490.420.500.570.510.470.710.810.761.150.380.320.320.280.390.480.650.861.041.181.180.950.721.060.800.780.721.285.302.011.652.061.32----
1.701.641.721.691.711.721.751.791.861.721.652.561.982.262.472.551.722.712.582.462.492.302.502.442.362.392.502.492.582.502.442.552.432.532.682.402.442.382.762.542.302.302.302.382.212.212.403.453.849.072.002.643.452.131.84----
52.9754.7452.4253.2352.6252.3251.5050.2348.4052.4754.4535.2245.3739.7636.4535.3552.4633.2034.9436.6036.0939.1935.9636.9638.1437.6436.0336.1234.8535.9936.9635.2437.0335.6033.5737.5036.9537.8332.5835.4839.2039.2039.1237.8140.7240.7237.4826.0823.439.9244.9234.0326.1142.1748.92----
2.151.012.861.313.19-2.54-1.30-0.092.630.96-0.702.462.781.592.3422.25-1.872.18-1.38-1.760.80-0.852.58-0.210.88-3.831.64-2.87-7.56-7.34-1.81-10.35-3.49-1.70-1.141.480.000.683.39-1.94-3.40-32.14-28.98-30.10-23.72-33.15-24.82-19.57-8.78-31.94-31.66-68.53-38.21-31.3814.56----
7.223.4511.126.3619.40-24.86-14.18-2.18131-14.9113.243.343.852.273.4333.65-3.864.74-3.24-4.342.06-1.043.20-0.271.11-4.832.05-3.59-9.40-8.96-2.31-13.08-4.29-1.99-1.331.710.000.803.95-2.27-3.73-48.34-40.17-39.00-29.24-39.54-30.08-22.95-10.08-36.60-35.53-142.53-57.82-42.8712.29----
1.150.571.580.711.67-1.28-0.60-0.041.150.36-0.251.301.440.811.1410.66-0.840.99-0.59-0.750.35-0.391.20-0.100.40-1.720.73-1.25-3.26-3.31-1.01-5.82-1.99-0.99-0.640.840.000.381.78-0.98-1.72-7.01-7.04-8.58-7.86-12.49-14.59-11.85-5.81-12.62-13.47-12.25-10.06-9.99-10.58----
1.290.641.800.811.92-1.49-0.71-0.051.340.47-0.371.691.891.071.5612.50-1.041.19-0.74-0.940.43-0.451.35-0.110.45-1.910.83-1.41-3.72-3.70-1.21-10.35-3.49-1.70-1.141.480.000.683.39-1.94-3.40-32.14-28.98-30.10-8.99-13.97-17.95-14.94-6.96-19.54-22.88-27.58-20.24-19.27-30.26----
19.0719.1818.7217.9117.4116.7116.8716.7916.5215.7516.3316.1415.4614.8114.2013.509.118.888.478.308.217.937.797.347.096.846.876.536.476.765.845.736.136.105.935.695.335.064.734.304.131.061.231.471.782.122.022.482.921.471.900.811.331.81-84.29----
2.020.942.982.061.200.423.122.251.150.662.762.250.930.261.760.69-0.220.151.701.070.620.081.190.670.26-0.070.450.020.090.000.900.430.12-0.080.680.270.15-0.020.750.330.10-0.14-1.32-1.11-0.82-0.42-2.31-1.51-1.22-0.69-1.89-1.36-0.87-0.40-43.35-33.17-21.13-6.260.00
1.940.892.681.801.010.272.481.720.780.501.751.450.41-0.020.900.16-0.59-0.011.450.940.520.040.840.380.08-0.19-0.04-0.33-0.13-0.100.23-0.10-0.31-0.27-0.30-0.49-0.32-0.210.10-0.06-0.18-0.25-1.69-1.39-0.96-0.51-2.91-1.93-1.46-0.81-2.26-1.57-0.98-0.48-55.12-39.83-24.48-6.99-