PTC Therapeutics Financial Ratios for Analysis 2011-2024 | PTCT

Fifteen years of historical annual and quarterly financial ratios and margins for PTC Therapeutics (PTCT).

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
2023202220212020201920182017201620152014201320122011
2.021.711.874.443.301.923.045.277.849.9611.040.160.77
1.741.371.000.670.330.290.480.450.29---0.02-0.23
-2.59-3.898262.100.530.440.930.820.41-0.00-0.26-0.48
93.0293.6194.0095.0396.0595.2197.65100.00100.00100.00100.00100.00100.00
-46.86-64.03-69.52-113.39-78.56-43.70-33.07-159.67-454.58-393.79-130.85-78.9729.01
-46.86-64.03-69.52-113.39-78.56-43.70-33.07-159.67-454.58-393.79-130.85-78.9729.01
1.55-40.29-56.29-90.73-68.48-33.81-23.48-153.05-439.72-378.57-123.94-71.0131.74
-74.23-84.07-96.24-105.82-78.16-48.39-39.95-171.14-462.28-389.96-148.65-77.2827.13
-66.81-80.00-97.27-115.07-81.95-48.38-40.64-171.83-463.60-371.37-191.4739329.32
0.490.410.280.170.190.240.500.310.100.080.232.602.39
2.142.052.041.010.630.790.43------
5.834.494.885.455.533.904.813.323.315.6836.2233.4884.73
62.5981.2874.8567.0366.0393.6375.8511011064.2710.0810.904.31
76.55161-36,433.35-90.91-42.33-36.52-50.50-118.84-75.42-31.41-37.7726.33-12.95
48.9449.2465.0213912729.60-336.97-118.84-75.42-31.41-37.77139-127.57
-33.05-32.78-27.03-19.84-15.49-11.44-20.17-52.76-46.66-28.14-33.95-200.6970.00
-56.83-60.17-53.56-29.75-28.32-26.03-26.21-65.25-53.63-31.41-37.77143-157.07
-10.81-4.750.026.919.606.933.763.506.669.075.74-4,157.48-
-2.12-4.97-3.57-2.94-1.68-0.59-0.26-3.04-3.70-1.81-3.66-2,785.700.00
-2.50-5.42-3.97-3.21-1.91-0.75-0.34-3.09-3.78-1.96-3.72-2,796.69-

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-31
2.102.232.032.021.101.241.391.711.231.221.621.872.173.664.474.444.903.003.183.304.402.733.351.922.734.343.333.043.083.345.305.275.746.937.447.8412.1211.4612.129.9612.3719.8826.9911.0411.508.501.910.16----
1.981.851.881.742.161.861.571.371.301.231.101.000.900.850.790.670.650.360.360.330.310.220.210.290.270.360.490.480.500.450.500.450.410.360.320.290.26---------0.00-0.02----
-2.26-2.44-2.40-2.59-2.02-2.35-2.96-3.89-4.68-6.63-13.2282611.225.913.922.101.940.600.600.530.470.320.300.440.390.560.980.930.980.830.990.820.690.570.480.410.35-----0.000.000.000.020.13-0.26----
94.4991.6892.9890.5295.1794.0593.5893.4993.5594.1893.1994.3695.2993.6992.2895.8996.0692.9594.0296.3395.7996.2595.5795.6493.8696.2694.5797.1896.2298.4299.85100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00-
-27.70-21.54-21.631.90-60.11-98.01-53.37-119.67-31.40-55.80-58.17-51.28-67.09-84.42-83.22-81.08-46.56-248.90-136.23-75.46-84.68-45.32-129.03-52.28-90.00-8.11-29.876.99-73.81-26.06-99.28-99.21-139.49-233.86-203.45-378.52-432.00-570.21-508.83-254.65-1,629.34-1,512.76-154.19-410.18-26.25-210.87-120.08-90.83-98.06-98.85-49.66-
-27.70-21.54-21.631.90-60.11-98.01-53.37-119.67-31.40-55.80-58.17-51.28-67.09-84.42-83.22-81.08-46.56-248.90-136.23-75.46-84.68-45.32-129.03-52.28-90.00-8.11-29.876.99-73.81-26.06-99.28-99.21-139.49-233.86-203.45-378.52-432.00-570.21-508.83-254.65-1,629.34-1,512.76-154.19-410.18-26.25-210.87-120.08-90.83-98.06-98.85-49.66-
----------------------------------------------------
-49.80-45.92-40.31-51.15-84.75-111.07-61.25-113.31-58.59-89.83-81.95-83.89-96.34-101.03-108.69-51.92-40.04-241.02-164.76-69.49-84.49-47.96-133.51-57.13-94.45-13.28-33.972.69-80.15-36.12-108.83-104.93-152.19-249.52-217.62-398.12-441.23-564.16-506.75-252.52-1,610.51-1,496.96-152.96-405.53-27.11-212.81-205.60-94.59-101.42-80.00-52.67-
-54.20-53.12-43.58-50.74-67.64-93.02-63.05-102.08-50.35-91.88-85.20-86.71-96.31-101.45-109.07-62.55-58.86-241.13-165.09-80.53-84.01-48.86-134.58-55.98-95.11-13.85-34.361.63-80.61-36.44-109.45-106.37-152.99-248.92-218.22-400.09-442.13-566.30-506.75-215.45-1,610.51-1,496.96-152.96-405.53-27.11-212.81-413.64-94.59-101.422,024-52.67-
0.110.100.120.160.160.160.140.100.140.090.080.090.070.060.060.050.050.050.040.060.040.070.040.080.050.130.150.200.110.130.110.090.080.050.060.030.020.020.030.040.010.010.040.030.100.040.120.51----
0.300.490.490.950.270.400.530.500.950.640.660.590.420.450.560.260.240.290.210.180.180.190.150.230.240.190.250.200.200.110.03---------------------
0.981.001.061.911.191.201.091.081.741.221.051.501.441.481.251.702.091.401.301.741.181.111.161.271.271.161.231.931.081.420.831.010.840.790.841.151.221.322.352.851.311.9511.004.6020.787.877.556.56----
91.4690.2284.6647.1475.8774.7282.4483.6651.5973.9285.4960.1662.6960.7871.8252.9543.1664.1769.3851.8276.1081.1477.8570.7970.8777.7573.2246.5983.3163.3610989.0610711410878.4173.8067.9538.2331.6168.8546.058.1819.554.3311.4311.9213.72----
10.1210.1210.2419.0319.8234.3330.3749.2448.1883.46140-9,962.99-127.35-60.22-43.97-15.43-13.64-31.69-21.31-13.07-9.04-8.55-14.06-13.78-13.20-3.56-12.820.81-23.13-10.30-28.82-22.41-25.09-23.50-21.04-22.54-16.06-15.43-13.87-9.14-13.55-11.22-5.77-13.10-2.92-9.5411.426.31----
7.277.127.0112.1711.3017.8711.3315.0510.3214.8413.5317.7819.0719.6425.6123.5524.5582.9743.5339.1349.3414.1027.2811.1715.99-6.75-84.705.42-452.25-80.93-28.82-22.41-25.09-23.50-21.04-22.54-16.06-15.43-13.87-9.14-13.55-11.22-5.77-13.10-2.92-9.54-49.6533.43----
-5.79-5.18-5.12-8.22-10.55-14.86-8.64-10.02-6.93-8.43-7.04-7.39-6.66-5.75-6.09-3.37-3.20-12.29-7.29-4.78-3.66-3.24-5.62-4.32-4.96-1.86-5.080.32-9.17-4.56-11.69-9.95-12.20-12.74-12.30-13.95-10.91-14.01-12.66-8.18-12.36-10.57-5.51-11.78-2.64-8.31-24.51-48.12----
-9.96-8.62-9.00-14.13-23.04-29.61-17.43-18.39-14.48-19.03-14.32-14.65-12.41-9.02-9.16-5.05-4.71-20.35-13.69-8.75-6.27-6.69-11.07-9.82-9.61-2.30-6.480.42-11.68-5.62-14.48-12.30-14.85-14.93-14.25-16.03-11.93-15.43-13.87-9.14-13.55-11.22-5.77-13.10-2.92-9.54-49.6334.23----
-13.70-12.75-11.66-10.81-8.89-7.69-6.18-4.75-3.16-2.55-1.270.021.482.794.166.917.548.518.429.6010.788.328.786.937.665.733.603.763.524.112.943.504.104.865.786.667.947.348.169.076.857.638.335.746.356.426,535-4,157.48----
-1.01-0.010.93-2.12-0.77-0.58-0.40-4.97-2.66-2.14-1.37-3.57-2.59-1.86-1.43-2.94-1.92-2.40-1.31-1.68-1.57-1.30-0.76-0.59-0.26-0.34-0.38-0.26-0.76-0.39-0.84-3.04-2.65-1.95-1.23-3.70-2.77-1.97-1.10-1.81-1.68-1.10-0.55-3.66-1.36-10.30-1,569.40-2,785.24-7,378.15-2,854.550.000.00
-0.680.330.80-2.50-1.07-0.80-0.54-5.42-2.99-2.39-1.50-3.97-2.86-2.06-1.51-3.21-2.09-2.53-1.40-1.91-1.73-1.39-0.81-0.75-0.31-0.37-0.39-0.34-0.78-0.41-0.85-3.09-2.66-1.95-1.23-3.78-2.82-2.01-1.13-1.96-1.72-1.13-0.56-3.72-1.38-10.34-1,573.60-2,795.70-7,414.85-2,871.22--