Peraso Financial Ratios for Analysis 2009-2024 | PRSO

Fifteen years of historical annual and quarterly financial ratios and margins for Peraso (PRSO).

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
1.222.724.232.805.265.651.313.676.468.9616.307.2512.895.033.39
0.080.03-10.780.370.270.550.35-------
0.090.03--1.250.590.371.250.54-------
13.6240.0442.4280.7761.0361.7746.9148.9543.6456.9189.2294.5176.6481.8482.61
-150.01-217.33-283.11-89.60-24.42-65.22-113.47-520.65-717.33-608.14-566.89-454.7780.37-148.99-168.42
-150.01-217.33-283.11-89.60-24.42-65.22-113.47-520.65-717.33-608.14-566.89-454.7780.37-148.99-168.42
-117.42-125.98-222.20-64.42-16.3216.68-103.25-337.98-696.20-581.21-528.74-410.41107-124.46-148.16
-122.15-217.90-192.13-112.51-25.58-68.65-123.29-531.26-715.19-605.48-562.14-452.2281.83-147.86-168.08
-122.15-217.90-192.13-168.00-25.58-68.73-120.65-532.01-717.15-607.47-563.76-454.0379.79-148.18-166.73
1.280.660.120.911.071.410.380.220.090.100.060.090.160.210.15
4.561.670.861.374.065.532.662.121.552.630.84----
17.934.531.613.458.5810.235.2610.786.0230.4029.7221.1914.5612.156.51
20.3680.6422710642.5235.6669.3933.8760.6112.0112.2817.2225.0730.0456.10
-411.34-212.35-25.94261-53.35-159.41-145.22-209.08-70.21-65.97-32.88-42.7813.17-34.39-29.53
-2,091.53-360.82-45.91261-53.35-169.35177-1,752.21-147.30-126.92-48.97-71.2519.42-61.20-51.22
-156.76-144.08-22.75-102.40-27.45-97.05-46.10-118.06-64.66-62.10-31.79-39.7112.56-31.18-25.29
-378.95-206.00-25.94-2,550.37-33.53-116.09-64.63-135.92-70.21-65.97-32.88-42.7813.17-34.39-29.53
5.3226.0877.98-29.9388.771337281,8505,4787,95912,34012,89117,80014,41116,577
-7.26-31.85-81.89-96.53-12.0317.40-826.05-2,174.58-3,517.24-4,249.92-4,003.89-4,495.81-3,109.89-3,905.37-3,006.34
-7.41-33.81-82.38-96.89-13.9314.81-857.44-2,252.87-3,671.12-4,346.20-3,919.73-3,944.663,722-4,259.81-3,288.82

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
1.081.201.691.222.773.442.782.723.012.923.704.2310.1612.096.382.805.215.774.705.265.536.895.945.652.392.061.691.310.551.543.313.676.275.699.316.4610.7812.9813.618.968.9711.5013.1616.3018.3214.947.977.2511.158.646.1612.894.355.094.805.032.672.142.073.394.046.5315.21
-0.06----0.030.03------0.0110.780.470.420.460.370.340.280.280.270.630.530.550.55-0.550.440.350.220.190.17----------------------------
-0.07----0.030.03------0.05-1.250.940.780.850.590.520.380.380.371.731.141.211.251.181.200.780.540.280.240.20----------------------------
47.0555.4746.38-147.3345.4425.3038.2944.2239.2834.6642.7630.3854.4637.5943.7810265.6569.3157.9458.9466.2559.9561.5372.0755.1560.1361.9544.5348.8047.1150.3356.7758.1741.0340.5244.8722.4143.3669.4676.2761.2341.5756.6877.6983.4993.1398.5897.1896.0189.6996.0065.5683.1085.7580.5080.6580.5487.3377.9779.6579.9686.1787.41
-70.29-105.59-128.94-449.35-79.45-209.61-75.42-373.78-121.77-164.24-197.94-251.96-165.66-635.44-328.07-142.92-32.12-29.73-108.41-28.42-147.35-2.451.16-266.94-62.3111.4213.47-14.42-62.49-271.97-345.63-1,044.26-283.66-354.62-471.12-407.01-989.33-694.97-1,026.80-779.84-736.34-411.38-607.81-658.82-735.53-571.43-374.31-491.29-456.29-377.82-506.25578-325.06-171.93-170.10-144.35-163.48-128.46-163.46-150.64-151.19-239.17-160.95
-70.29-105.59-128.94-449.35-79.45-209.61-75.42-373.78-121.77-164.24-197.94-251.96-165.66-635.44-328.07-142.92-32.12-29.73-108.41-28.42-147.35-2.451.16-266.94-62.3111.4213.47-14.42-62.49-271.97-345.63-1,044.26-283.66-354.62-471.12-407.01-989.33-694.97-1,026.80-779.84-736.34-411.38-607.81-658.82-735.53-571.43-374.31-491.29-456.29-377.82-506.25578-325.06-171.93-170.10-144.35-163.48-128.46-163.46-150.64-151.19-239.17-160.95
---------------------------------------------------------------
-70.61-104.41-72.12-487.88-13.90-170.04-62.55-375.43-121.68-164.40-198.47134-189.35-779.05-377.57-192.14-35.87-32.47-111.51-29.90-149.34-3.360.28-268.07-64.706.878.29-20.43-70.89-288.08-363.04-1,060.20-297.58-366.44-471.74-405.57-987.48-692.05-1,023.84-777.40-733.74-408.23-605.56-654.46-722.78-569.29-372.81-489.15-451.70-375.75-504.56581-324.58-171.17-169.85-144.93-163.27-126.52-160.39-143.55-147.06-253.31-163.76
-70.61-104.41-72.12-487.88-13.90-170.04-62.55-375.43-121.68-164.40-198.47134-189.35-779.05-377.57-311.69-35.87-52.39-111.51-29.90-149.34-3.360.28-268.33-64.756.858.27-13.87-71.06-288.58-363.45-1,059.11-298.86-367.67-473.12-407.20-988.75-694.77-1,026.42-781.06-735.73-409.43-607.13-654.77-725.71-571.07-374.31-487.34-457.65-377.48-506.67577-325.72-171.69-170.36-143.93-164.14-127.13-161.30-138.16-147.15-254.62-164.03
0.530.430.240.170.270.130.270.170.100.120.080.040.080.030.080.390.210.210.150.240.120.270.300.290.220.210.190.160.110.070.050.050.040.040.030.030.020.020.010.020.020.030.020.010.010.010.020.020.020.020.020.060.040.050.050.050.060.060.050.050.040.020.03
0.810.720.551.740.430.350.640.410.380.640.430.340.800.420.72-0.050.950.590.480.970.342.041.500.841.420.800.841.191.010.700.570.410.460.700.590.550.630.450.200.310.531.630.620.39-------------------
4.862.901.872.511.461.611.751.181.211.001.060.532.691.102.941.482.493.272.341.951.352.261.622.131.743.122.802.261.432.651.712.452.511.541.822.192.402.379.466.476.595.703.776.6617.7213.8319.635.56-5.334.545.332.974.552.483.103.771.991.602.011.410.565.31
18.5331.0148.2335.9161.5456.0751.5276.0674.1090.2785.2417133.4081.6130.6560.9036.0727.4838.5046.1066.6439.7855.5142.3051.8728.8532.1939.8963.0733.9552.7236.8035.8258.5349.5041.0637.5138.039.5113.9013.6615.8023.8513.515.086.514.5816.19-16.9019.8516.8730.2819.7736.3429.0523.8645.2856.2644.7363.6316116.94
-133.86-124.30-30.29-218.91-5.30-37.01-23.44-95.65-14.05-22.66-18.535.94-17.32-22.99-37.58191-18.12-14.06-40.14-14.19-32.99-1.430.14-129.38-48.363.734.37-7.16-22.56-54.99-39.73-94.45-15.97-18.01-17.70-14.51-19.98-11.61-12.31-18.07-14.76-11.12-11.49-8.56-8.82-7.61-8.13-12.04-8.55-8.79-9.0934.86-12.64-9.49-9.54-8.52-12.05-9.62-9.58-7.57-7.21-6.92-5.45
-226.76-231.31-47.88-1,113.08-8.26-67.99-41.01-162.52-34.04-51.01-36.2310.51-17.32-22.99-37.58191-18.12-14.06-40.14-14.19-32.99-1.520.15-137.4564.94-6.44-6.458.7130.6464.63185-791.58-74.51-58.87-43.84-30.45-36.82-19.00-19.16-34.76-25.39-17.86-17.64-12.75-12.92-10.90-13.90-20.06-13.50-13.58-13.7451.42-25.52-17.96-17.49-15.15-28.99-21.10-20.29-13.12-12.25-11.36-6.49
-37.69-45.34-17.59-83.42-3.70-22.76-16.74-64.90-11.95-19.06-16.105.21-15.86-21.37-31.29-74.86-7.65-6.72-17.26-7.30-17.90-0.900.08-78.77-14.491.441.55-2.27-8.00-20.08-19.73-53.34-11.64-13.36-13.87-13.36-18.97-11.07-11.79-17.01-13.93-10.61-11.01-8.28-8.57-7.35-7.61-11.18-8.14-8.36-8.4733.25-11.54-8.67-8.61-7.72-10.49-7.83-7.79-6.48-6.34-6.13-5.27
-133.86-116.60-30.29-218.91-5.30-37.01-22.76-92.79-14.05-22.66-18.535.94-17.32-22.99-37.09-1,864.34-9.55-8.09-21.72-8.92-21.65-1.040.10-94.22-17.741.741.98-3.19-22.56-25.02-22.26-61.40-12.48-14.56-14.71-14.51-19.98-11.61-12.31-18.07-14.76-11.12-11.49-8.56-8.82-7.61-8.13-12.04-8.55-8.79-9.0934.86-12.64-9.49-9.54-8.52-12.05-9.62-9.58-7.57-7.21-6.92-5.45
0.711.272.816.0718.5819.9222.9826.0852.1756.9567.5277.9810210972.14-29.9343.9251.4560.4888.771001331331335628267807287668701,3291,8503,5524,0414,7045,4786,1787,2988,0097,9599,29010,39411,38212,34013,04313,98812,15512,89114,27215,30616,38617,80011,34112,52313,43614,41112,83114,17515,28516,57717,61218,69419,795
-1.40-1.36-1.34-7.26-7.87-5.84-2.49-31.85-26.79-21.38-11.61-81.89-53.69-43.05-9.56-96.53-18.23-14.27-12.34-12.03-4.167.24-12.7917.4039.90-18.84-30.38-826.05-902.90-839.06-502.84-2,174.58-1,811.83-1,347.08-879.31-3,517.24-2,831.97-1,614.78-1,032.98-4,249.92-3,015.84-1,926.68-1,030.95-4,003.89-2,942.78-2,088.95-990.86-4,495.81-3,559.17-2,307.00-1,291.92-3,109.89-2,704.96-1,544.54-842.21-3,905.37-2,649.47-1,710.71-1,076.58-3,006.34-2,507.29-1,937.56-1,166.46
-1.40-1.36-1.34-7.41-8.00-5.99-2.64-33.81-27.94-22.01-11.77-82.38-54.12-43.44-9.62-96.89-18.39-14.42-12.44-13.93-5.316.23-13.6314.8135.53-21.22-30.38-857.44-904.31-839.06-502.84-2,252.87-1,890.03-1,421.28-903.67-3,671.12-2,877.17-1,630.97-1,050.81-4,346.20-3,062.42-1,943.49-1,044.62-3,919.73-2,858.07-1,989.43-877.01-3,944.66-2,911.83-1,865.23-843.443,722-2,778.26-1,611.53-893.73-4,259.81-2,968.51-1,825.77-1,118.55-3,288.82-2,725.20-2,025.51-1,235.17