Insulet Financial Ratios for Analysis 2009-2024 | PODD

Fifteen years of historical annual and quarterly financial ratios and margins for Insulet (PODD).

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
3.513.605.816.013.753.996.246.642.934.704.682.284.747.527.79
0.650.740.690.630.920.740.780.840.830.660.490.700.570.510.59
1.932.942.291.7611.702.793.575.275.212.020.982.671.311.051.44
68.3561.7268.4564.3965.0665.6659.7757.5250.5054.9645.4943.6843.8245.0927.71
12.962.8811.475.696.774.86-1.60-2.92-18.47-3.84-11.79-17.02-27.89-39.84-89.89
12.962.8811.475.696.774.86-1.60-2.92-18.47-3.84-11.79-17.02-27.89-39.84-89.89
17.257.7216.6911.8210.557.631.400.85-12.471.45-7.01-11.80-22.31-34.61-73.53
12.650.751.871.071.960.92-5.74-7.31-23.26-20.70-18.16-24.44-37.47-63.07-109.56
12.160.351.530.751.570.59-5.78-7.87-27.86-22.26-18.20-24.54-30.10-63.07-109.56
0.660.580.540.480.650.610.570.800.960.780.861.070.690.620.38
1.331.441.142.092.552.715.524.3910.867.9514.238.017.234.664.73
4.726.356.829.4910.657.358.6912.746.205.807.476.356.575.764.41
77.3657.4953.4838.4634.2749.6642.0028.6558.8262.9348.8557.4955.5963.3982.70
28.160.973.021.1315.281.56-16.91-43.09-180.91-57.19-36.10-117.41-55.40-92.34-116.85
35.431.323.501.2750.662.04-23.44-126.96949-148.75-65.16318-282.96-92.34-116.85
7.970.200.820.361.020.36-3.28-5.96-22.39-16.13-15.62-26.19-20.71-39.15-41.85
9.830.250.930.411.200.41-3.70-6.87-29.90-19.17-18.46-35.07-23.96-45.08-47.90
10.486.858.049.141.213.582.721.100.601.492.270.911.741.461.64
1.981.70-0.991.271.580.590.710.28-0.220.160.06-0.61-0.55-0.90-1.66
0.95-0.06-2.62-0.68-1.05-1.99-0.56-0.11-0.41-0.05-0.07-0.84-0.78-1.06-1.76

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
3.683.603.743.513.263.343.473.603.984.695.985.815.725.876.426.016.628.084.153.757.014.724.363.994.585.545.486.244.887.058.566.646.673.293.452.933.273.874.344.704.333.264.644.684.135.824.532.282.322.703.944.745.575.567.957.526.526.137.937.795.484.795.05
0.550.580.630.650.690.710.730.740.760.770.760.690.720.730.640.630.610.620.940.920.870.710.730.740.750.760.770.780.820.840.840.840.830.860.870.830.760.710.680.660.680.690.500.490.490.450.450.700.670.630.610.570.560.530.540.510.740.680.710.591.001.040.84
1.251.401.771.932.342.522.782.943.293.343.172.292.582.741.821.761.551.6215.2411.706.552.432.682.792.953.223.343.574.655.275.305.275.076.496.755.213.282.572.242.022.172.591.010.980.990.820.932.672.291.921.581.311.271.111.191.052.812.102.401.44317-23.945.27
69.3367.7469.4670.8567.7866.8167.1658.7855.2563.5670.9969.2968.4769.4166.3965.4664.8762.9764.0964.0464.0865.7366.8566.9267.5066.0561.3560.9260.4658.8958.4058.8358.6557.7854.2450.1144.2250.4060.6313550.7349.6647.4448.1844.8344.6543.8643.7844.5543.7642.5042.5541.6245.1347.8949.7945.6843.1040.3036.2930.9521.6816.00
16.2011.1812.8820.8712.667.847.746.360.85-8.9212.8316.1512.239.996.46-2.9710.1712.153.798.648.854.294.579.834.543.48--0.601.68-3.06-5.22-3.992.55-1.47-9.48-15.05-20.72-23.22-15.097.70-3.84-7.33-2.730.30-28.33-9.69-10.82-10.52-15.47-20.61-22.81-22.27-21.90-46.30-25.74-35.02-32.52-43.16-51.57-59.19-71.95-112.51-140.12
16.2011.1812.8820.8712.667.847.746.360.85-8.9212.8316.1512.239.996.46-2.9710.1712.153.798.648.854.294.579.834.543.48--0.601.68-3.06-5.22-3.992.55-1.47-9.48-15.05-20.72-23.22-15.097.70-3.84-7.33-2.730.30-28.33-9.69-10.82-10.52-15.47-20.61-22.81-22.27-21.90-46.30-25.74-35.02-32.52-43.16-51.57-59.19-71.95-112.51-140.12
---------------------------------------------------------------
15.2410.4612.4321.1512.417.196.876.03-1.67-12.069.9210.855.52-10.790.12-7.525.737.69-1.313.250.571.072.946.591.23-1.03-5.05-5.32-1.73-6.98-9.71-8.65-3.11-4.91-13.08-18.83-25.13-28.49-21.64-12.65-14.43-40.35-8.79-3.87-34.83-17.31-18.37-17.51-22.63-28.23-30.85-30.11-30.41-60.30-34.85-75.11-47.53-59.78-69.64-76.88-90.32-138.46-157.55
14.2538.6111.6620.2611.996.896.654.60-1.53-11.699.419.494.57-9.50--6.954.966.36-1.062.390.420.792.766.001.10-1.36-5.32-5.23-1.83-7.08-9.81-8.80-3.25-4.81-15.37-32.61-26.51-25.49-24.58-35.62-14.46-40.42-8.88-3.65-34.84-17.50-18.59-17.63-22.68-28.36-30.95-30.38-30.41-25.10-34.85-75.11-47.53-59.78-69.64-76.88-90.32-138.46-157.55
0.180.170.170.200.180.170.160.160.160.140.140.150.140.140.140.130.140.140.180.180.150.180.170.180.170.150.150.160.240.240.230.230.210.330.320.300.240.200.160.050.250.220.240.240.210.210.200.290.270.250.220.210.210.140.190.180.170.140.130.120.160.150.10
0.370.370.310.370.340.320.300.440.470.340.270.310.340.410.500.550.660.810.740.750.760.710.720.760.851.031.811.511.371.331.231.201.201.512.653.483.061.280.94-0.413.824.143.483.756.255.563.502.192.011.751.872.291.981.111.211.221.071.281.881.281.411.100.69
1.451.401.381.421.601.581.651.801.691.451.561.912.412.622.582.582.742.902.473.022.482.252.042.151.891.952.212.452.582.912.503.602.462.262.011.972.241.901.330.381.591.721.892.071.771.791.841.741.821.991.822.042.581.581.881.651.651.451.371.351.150.940.94
62.1564.2365.3063.5056.2256.8654.5950.0553.1962.1057.6747.0937.3334.3034.9234.8532.8531.0236.4129.7936.3340.0144.0741.8747.6146.0940.6636.7934.8630.9635.9725.0336.5739.8844.8545.6840.0947.3067.4723756.5952.2447.7343.4250.7650.4048.8251.8249.5545.1349.3744.2334.8556.8947.8054.5954.6062.0065.7766.6378.5895.4995.93
6.9318.896.5114.108.544.934.733.57-1.22-8.296.225.252.53-5.45--2.831.952.56-3.566.590.530.561.974.670.84-0.94-3.85-4.31-3.00-12.00-15.69-14.49-4.63-15.85-40.49-46.72-32.62-24.58-12.93-2.19-13.50-37.38-5.02-2.01-17.53-7.60-8.23-23.08-24.61-24.50-21.05-17.33-16.25-8.59-16.47-31.49-36.11-31.17-35.41-25.10-5,584.65583-127.09
8.0222.248.0417.7411.376.786.784.87-1.61-11.098.136.082.99-6.48--3.202.132.81-30.0021.830.820.712.556.111.10-1.27-5.20-5.97-7.42-35.99-46.02-42.71-12.2133.2375.01245-791.94-84.57-34.75-5.71-38.97-118.99-9.03-3.62-32.89-13.06-15.1462.45109345-276.31-88.52-50.98-23.12-16.47-31.49-36.11-31.17-35.41-25.10-5,584.79583-127.09
2.566.551.963.992.101.141.040.76-0.24-1.661.341.430.63-1.30--0.910.680.89-0.190.440.060.140.461.070.19-0.20-0.79-0.84-0.45-1.69-2.24-2.00-0.67-1.65-4.20-5.78-6.14-5.75-3.42-0.62-3.60-8.95-2.13-0.87-7.35-3.68-3.80-5.15-6.11-7.11-6.85-6.48-6.29-3.57-6.61-13.35-8.07-8.46-9.11-8.99-14.45-20.38-16.39
3.138.002.394.922.621.421.270.92-0.29-1.941.511.620.72-1.48--1.040.760.98-0.220.520.070.160.531.230.21-0.22-0.89-0.94-0.53-1.92-2.49-2.31-0.77-2.14-5.34-7.72-7.82-7.05-4.09-0.74-4.32-11.52-2.52-1.03-8.92-4.21-4.52-6.89-8.17-9.13-8.16-7.50-7.15-4.08-7.54-15.37-9.48-10.06-10.41-10.29-17.59-25.42-20.27
15.9414.2411.2910.488.707.947.216.856.166.096.448.047.226.698.849.149.038.590.941.212.444.153.753.583.353.042.902.721.281.121.101.101.130.480.460.600.971.241.421.491.431.402.222.272.232.552.430.911.051.231.471.741.761.991.301.460.831.101.081.640.01-0.120.56
3.822.491.191.981.370.630.011.700.980.17-0.20-0.99-0.61-0.25-0.531.271.000.35-0.061.580.830.330.110.590.09-0.18-0.070.710.33-0.07-0.380.28-0.07-0.12-0.18-0.220.11-0.05-0.060.160.08-0.01-0.020.060.130.06-0.02-0.61-0.49-0.42-0.19-0.55-0.38-0.37-0.17-0.90-0.70-0.39-0.24-1.66-1.41-1.02-0.47
2.861.890.890.950.740.26-0.14-0.060.14-0.23-0.38-2.62-1.76-1.04-1.03-0.68-0.17-0.44-0.49-1.05-1.01-1.16-0.62-1.99-1.95-1.67-0.68-0.56-0.49-0.74-0.82-0.11-0.41-0.22-0.24-0.41-0.02-0.13-0.14-0.05-0.08-0.11-0.06-0.070.040.01-0.04-0.84-0.67-0.51-0.22-0.78-0.56-0.49-0.24-1.06-0.79-0.45-0.27-1.76-1.48-1.05-0.47