ProPhase Labs Financial Ratios for Analysis 2009-2024 | PRPH

Fifteen years of historical annual and quarterly financial ratios and margins for ProPhase Labs (PRPH).

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
2.283.783.952.5210.664.3115.681.412.622.572.442.181.681.912.58
0.230.040.150.49----0.14------
0.330.040.170.95---0.250.17------
36.5957.6153.1231.7326.4836.4219.7423.7033.0464.2566.6063.6164.6460.8958.38
-48.7019.2412.40-14.34-32.80-12.45-40.44-90.20-82.53-35.471.66-4.90-15.69-24.78-19.86
-48.7019.2412.40-14.34-32.80-12.45-40.44-90.20-82.53-35.471.66-4.90-15.69-24.78-19.86
-33.3123.3716.91-11.18-28.77-9.53-36.92-79.51-67.95-34.212.63-3.78-13.65-22.28-17.22
-51.3718.686.71-15.94-31.45-11.18-37.12-95.24-83.16-35.501.62-4.87-15.53-24.42-19.81
-37.8115.057.94-14.64-31.86-13.26411-68.19-142.97-35.501.62-4.87-15.53-24.14-19.39
0.481.400.890.460.800.630.290.330.171.371.441.340.910.670.93
7.3313.088.063.264.984.395.171.170.392.403.323.982.303.375.87
1.223.312.104.601.451.682.220.730.633.784.714.145.423.015.51
29911017479.3425221716450158096.5277.5688.1167.3212166.29
-33.9829.0210.70-22.03-27.66-9.51-7.04-67.19-23.72-73.113.22-9.53-24.14-26.01-27.33
-52.7437.3414.91-27.62-27.66-9.51-7.04-67.19-23.72-73.114.49-13.86-35.43-35.42-27.33
-18.2621.067.03-7.41-25.31-7.57-6.66-31.29-14.12-48.792.32-6.55-14.20-16.14-18.01
-26.3327.969.14-11.32-27.66-9.51-7.04-67.19-20.34-73.113.22-9.53-24.14-26.01-27.33
2.743.933.790.910.971.432.860.350.520.670.780.730.760.921.08
-0.661.53-0.74-0.22-0.07-0.19-0.18-0.03-0.21-0.190.07-0.39-0.14-0.250.03
-0.841.34-1.46-0.19-0.09-0.20-0.19-0.07-0.26-0.210.04-0.41-0.15-0.260.06

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
1.471.581.882.283.044.023.323.784.214.203.673.954.424.133.682.528.357.348.4510.6612.3214.0516.244.3120.6612.2616.8915.6810.6010.006.511.411.561.642.362.622.922.572.252.572.152.302.622.442.232.012.652.181.581.431.651.681.902.041.911.912.082.162.452.582.612.472.97
0.330.250.240.230.170.150.140.040.110.110.110.150.170.170.160.490.48-----------------0.160.14---------------------------
0.650.420.410.330.240.190.160.040.120.120.120.170.210.210.190.950.93--------------0.250.230.230.200.17---------------------------
-5.24-19.24-11.92-87.3427.8248.7954.5051.7049.4864.3560.3354.5241.9948.8558.4636.2227.1435.3021.9831.8430.1515.8122.4332.7831.0039.4941.8331.1014.217.3511.0263.4914.052.7428.0566.0761.9445.9662.4965.7368.4244.0764.5068.6064.1647.8670.7962.6562.7743.5672.1264.2970.7551.3862.9857.8169.3741.6459.2158.3472.6316.6558.99
-252.29-316.37-228.34-324.44-77.44-35.244.53-23.338.0736.3933.9730.29-38.50-15.868.00-14.74-14.771.63-43.01-14.84-16.67-76.80-45.04-9.89-37.39-8.29-1.56-8.02-29.67-84.57-148.38-69.75-52.28-124.58-123.43-2.6613.74-71.47-23.53-7.51-62.67-174.57-13.006.2720.83-88.603.884.9719.82-102.01-11.47-24.6121.76-56.36-32.38-19.1717.97-201.41-53.8518.7524.05-264.82-55.43
-252.29-316.37-228.34-324.44-77.44-35.244.53-23.338.0736.3933.9730.29-38.50-15.868.00-14.74-14.771.63-43.01-14.84-16.67-76.80-45.04-9.89-37.39-8.29-1.56-8.02-29.67-84.57-148.38-69.75-52.28-124.58-123.43-2.6613.74-71.47-23.53-7.51-62.67-174.57-13.006.2720.83-88.603.884.9719.82-102.01-11.47-24.6121.76-56.36-32.38-19.1717.97-201.41-53.8518.7524.05-264.82-55.43
---------------------------------------------------------------
-289.10-341.15-243.01-333.38-81.11-37.182.92-23.787.3435.7933.4721.31-42.00-15.266.92-19.48-14.821.93-42.85-13.59-15.47-74.98-43.70-8.65-36.78-8.131.26-5.49-25.56-76.64-155.38-76.79-56.06-129.77-128.54-2.5213.71-71.47-23.55-7.53-62.69-174.62-13.036.2320.78-88.653.854.9919.83-101.90-11.43-24.5721.84-55.85-32.00-18.9318.20-199.29-53.7418.6324.15-264.59-55.15
-209.38-248.71-172.40-250.10-61.46-26.032.85-11.204.0025.5926.2923.45-42.00-15.266.92-18.94-10.631.93-42.85-14.87-15.47-74.98-43.70-11.41-43.34-8.131.26-5.23-25.56-121.005,692-74.5811.91-110.38-131.5012.6613.71-71.47-23.55-7.53-62.69-174.62-13.036.2320.78-88.653.854.9919.83-101.90-11.43-24.5721.84-55.85-32.00-18.2818.20-199.29-53.7419.5524.15-264.59-55.15
0.030.030.040.040.090.150.200.250.250.300.480.510.130.120.180.160.170.290.160.260.180.100.140.200.120.140.100.120.080.040.010.060.110.090.08-0.670.320.180.390.560.290.090.360.550.360.130.470.540.330.120.340.390.250.100.160.290.230.060.090.430.270.110.18
0.830.761.081.711.191.872.042.652.492.304.034.470.650.310.401.081.311.150.861.471.020.691.121.450.620.810.991.871.310.900.320.100.290.230.18-0.780.340.320.670.930.390.310.991.200.650.311.031.650.590.340.640.990.420.530.871.550.670.570.712.700.430.470.50
0.100.080.100.100.220.340.510.590.640.791.301.200.891.381.061.641.281.880.310.460.440.300.410.530.410.500.500.930.841.040.230.130.370.570.38-2.481.591.761.691.541.270.772.161.811.341.722.451.681.302.022.372.321.151.501.261.281.091.321.462.532.0011.442.22
9051,19887093441626317615314111369.4875.1510165.4184.5455.0070.2947.9428719520530321817121718017996.3710786.69398677246159238-36.2856.7151.1453.2658.5471.0711741.6549.8667.2552.3636.7553.6269.3444.5738.0238.8478.2459.9771.2470.0882.8668.0461.8135.5844.977.8740.55
-17.28-13.96-13.96-17.72-9.11-5.810.92-3.841.4310.9218.8018.06-8.24-2.922.01-9.64-5.290.64-7.61-3.80-2.97-8.45-6.45-2.77-4.55-1.260.13-0.44-1.31-1.93-1.49-9.88-12.03-20.81-17.432.836.00-18.73-14.73-6.31-30.52-23.06-6.284.7510.63-16.702.423.9610.86-22.00-6.47-16.338.71-8.15-8.08-8.416.53-16.71-6.8012.669.79-42.17-14.12
-29.28-22.13-22.42-27.50-13.46-8.551.37-4.941.8214.0524.7025.17-11.26-3.042.09-12.09-5.290.64-7.61-3.80-2.97-8.45-6.45-2.77-4.55-1.260.13-0.44-1.31-1.93-1.49-9.88-12.03-20.81-17.432.836.00-18.73-14.73-6.31-30.52-31.28-8.716.6315.36-25.583.455.7517.01-37.15-9.76-23.9612.11-11.62-11.31-11.458.67-22.74-8.8212.669.79-42.17-14.12
-7.17-6.57-6.96-9.52-5.61-3.780.58-2.790.997.6012.5411.86-5.48-1.831.24-3.24-2.470.57-6.82-3.48-2.74-7.84-6.11-2.20-4.36-1.170.13-0.41-1.21-1.77-1.29-4.60-6.15-11.48-9.801.694.35-13.01-9.20-4.21-17.95-15.88-4.663.437.42-11.411.802.726.50-12.72-3.84-9.615.46-5.49-5.09-5.224.24-11.36-4.798.356.61-28.04-10.16
-11.65-10.47-10.64-13.73-7.54-4.910.79-3.701.289.7816.7815.42-6.82-2.421.69-4.95-2.740.64-7.61-3.80-2.97-8.45-6.45-2.77-4.55-1.260.13-0.44-1.31-1.93-1.49-9.88-12.03-20.81-14.572.436.00-18.73-14.73-6.31-30.52-23.06-6.284.7510.63-16.702.423.9610.86-22.00-6.47-16.338.71-8.15-8.08-8.416.53-16.71-6.8012.669.79-42.17-14.12
2.002.312.492.743.133.523.563.934.244.334.293.793.083.153.480.910.930.940.920.971.251.271.361.431.711.782.862.862.892.842.910.350.380.370.440.520.590.510.590.670.680.710.770.780.730.650.760.730.670.590.720.760.870.790.850.920.990.921.081.080.940.851.21
-0.73-0.53-0.28-0.66-0.65-0.380.031.531.371.301.08-0.74-0.58-0.23-0.43-0.220.360.400.02-0.07-0.040.040.12-0.19-0.120.00-0.01-0.18-0.07-0.040.17-0.03-0.05-0.010.06-0.21-0.150.050.13-0.19-0.080.060.180.070.020.220.23-0.39-0.23-0.050.05-0.14-0.200.040.08-0.25-0.21-0.040.080.03-0.27-0.240.03
-0.78-0.57-0.34-0.84-0.92-0.63-0.161.341.281.231.03-1.46-1.44-0.51-0.65-0.190.340.390.01-0.09-0.050.030.12-0.20-0.12-0.01-0.01-0.192.472.362.46-0.07-0.07-0.030.05-0.26-0.190.020.13-0.21-0.090.050.180.040.000.210.23-0.41-0.25-0.060.05-0.15-0.210.030.09-0.26-0.22-0.050.080.06-0.24-0.210.02