UniQure Financial Ratios for Analysis 2012-2024 | QURE

Fifteen years of historical annual and quarterly financial ratios and margins for UniQure (QURE).

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
202320222021202020192018201720162015201420132012
8.856.2817.099.4712.1511.858.476.348.484.682.650.20
0.330.180.140.130.100.160.180.240.100.280.54-
0.490.220.170.150.110.240.230.320.160.401.47-4.37
13.9896.86100.00100.00100.00100.00100.00100.00100.00100.0072.82-
-1,785.46-134.4459.28-334.34-1,663.78-781.92-544.31-286.66-672.63-874.16-771.79-
-1,785.46-134.4459.28-334.34-1,663.78-781.92-544.31-286.66-672.63-874.16-771.79-
-1,710.35-126.4360.67-305.96-1,572.19-671.90-486.76-262.40-612.85-832.14-753.59-
-1,934.97-120.4563.51-377.04-1,705.82-736.20-606.23-287.79-787.12-819.28-913.33-
-1,947.09-119.0762.90-333.27-1,705.82-738.25-604.72-292.35-775.98-810.57-913.33-
0.020.150.650.110.020.040.060.130.040.050.08-
1.130.48--------0.93-
3.781.048.925.677.6948.438.262.732.561.161.89-
96.6035140.9464.3947.477.5444.17134142313193-
-148.54-26.6455.32-51.26-38.45-46.38-88.70-115.31-64.16-86.95-501.613,208
-255.34-32.3765.21-52.09-39.16-47.90-100.00-133.79-68.04-147.631,265395
-37.09-17.9940.73-36.73-27.68-30.41-37.81-38.56-31.25-39.11-71.62-264.70
-99.70-21.9147.30-44.73-34.58-38.73-72.65-88.12-57.58-62.81-229.67-
4.3410.1312.875.457.394.812.852.525.263.16--
-3.06-3.106.15-3.03-2.47-2.13-2.38-2.880.34-2.15-0.51-1.68
-3.21-3.485.78-3.20-2.61-2.20-2.55-3.49-0.01-3.45-0.67-1.74

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302012-12-31
7.369.398.8510.1111.076.676.287.2610.8412.9417.0914.1715.068.799.478.6210.7112.8912.1514.338.079.5111.857.568.365.488.473.644.826.046.347.337.927.178.489.278.393.154.686.046.825.83-3.93-
0.510.410.330.270.220.200.180.200.170.160.140.110.100.240.130.130.120.110.100.090.210.180.160.050.060.140.180.420.370.280.240.200.180.100.100.100.110.340.280.230.210.09-0.39-
1.060.700.490.380.290.250.220.240.210.190.170.120.110.310.150.160.130.120.110.100.270.230.240.100.100.210.231.050.750.450.320.250.220.180.160.160.160.620.400.310.280.13-0.75-
35.04-6.97-32.0828.5044.1854.2798.3940.58-67.40100.00140100.0095.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.0011186.4199.66103116106104100---
-395.56-639.10-923.13-5,819.26-2,686.79-1,392.9025.79-4,107.52-11,279.88-3,017.863.58-2,262.4485.80-9,792.51-24.25-2,486.86-2,489.12-33,137.50-1,256.34-2,994.84-1,185.57-2,421.13-1,505.35-737.74-695.18-563.51-876.35-410.40-398.79-593.65-179.53-196.09-497.17-448.52-132.83-858.79-1,160.92-1,239.72-1,024.54-1,255.54-957.75-628.98---
-395.56-639.10-923.13-5,819.26-2,686.79-1,392.9025.79-4,107.52-11,279.88-3,017.863.58-2,262.4485.80-9,792.51-24.25-2,486.86-2,489.12-33,137.50-1,256.34-2,994.84-1,185.57-2,421.13-1,505.35-737.74-695.18-563.51-876.35-410.40-398.79-593.65-179.53-196.09-497.17-448.52-132.83-858.79-1,160.92-1,239.72-1,024.54-1,255.54-957.75-628.98---
---------------------------------------------
-497.49-765.61-1,049.07-6,371.00-2,820.44-1,472.946.42-3,325.47-7,923.34-2,639.1713.63-1,832.1886.82-9,106.39-50.22-3,005.87-2,772.05-26,922.12-1,578.13-2,256.60-1,269.16-2,444.72-1,361.57-700.98-663.31-542.87-1,060.18-465.62-430.37-610.42-153.09-209.04-481.08-506.22-472.88-821.40-1,169.65-1,187.34-943.62-964.69-901.32-673.15---
-506.01-773.34-1,094.42-6,366.10-2,827.17-1,450.276.63-3,302.76-7,859.36-2,604.8014.23-1,836.6586.12-9,153.31-2.05-3,005.87-2,772.05-26,922.12-1,578.13-2,256.60-1,269.16-2,444.72-1,361.19-699.97-675.15-540.22-1,063.24-453.32-430.37-610.42-161.24-211.49-473.60-519.19-458.23-820.44-1,169.60-1,141.88-0.62-904.90-862.87-669.32---
0.020.010.010.000.000.010.150.000.000.000.070.000.590.000.100.010.000.000.010.000.010.000.010.010.010.020.010.020.030.020.050.030.020.020.020.010.010.010.010.010.010.01---
-1.180.730.060.130.330.240.210.28--------------------------1.04---------
1.420.791.600.860.020.051.000.400.160.050.980.531710.085.158.026.910.402.7710.366.972.466.905.702.943.291.631.160.851.900.990.660.590.760.990.430.300.240.310.280.250.35---
63.5011456.421053,8111,77189.682245651,94191.681710.521,07917.4711.2213.0222332.478.6912.9136.5213.0415.7830.6027.3555.2477.4610647.4390.4813515311890.95209297370294319358255---
-57.98-44.71-35.25-33.32-19.38-18.711.43-11.36-8.03-8.551.38-6.1863.05-18.17-0.29-23.60-16.03-9.49-12.82-6.74-23.78-17.68-12.19-11.03-9.43-18.74-30.75-52.25-77.95-44.33-23.14-18.91-21.88-19.96-14.64-19.81-16.08-35.99-0.02-16.60-15.56-12.55---
-367.10-106.10-60.60-48.28-25.59-23.611.74-13.92-9.67-10.191.62-7.3363.36-18.45-0.29-24.08-16.50-9.74-13.06-6.86-24.98-18.43-12.59-11.35-9.94-20.92-34.66-101.86-117.93-54.94-26.85-21.66-24.58-21.55-15.52-21.23-19.33-81.24-0.03-24.59-18.87-14.66---
-7.70-8.52-8.80-10.28-7.26-12.240.97-7.50-5.57-6.171.01-4.7250.94-11.42-0.21-15.34-11.04-6.76-9.23-5.01-12.41-10.32-7.99-7.84-6.67-9.77-13.11-7.37-13.46-11.95-7.74-7.17-8.98-9.07-7.13-10.15-8.19-13.48-0.01-8.39-8.46-7.71---
-28.20-26.37-23.66-24.19-15.07-14.971.18-9.14-6.64-7.211.18-5.5256.71-13.89-0.25-20.42-14.14-8.45-11.54-6.11-18.71-14.41-10.18-10.52-8.90-16.11-25.18-30.17-48.96-31.85-17.68-15.10-18.00-17.87-13.13-17.88-14.25-23.87-0.01-12.70-12.29-11.45---
1.993.034.345.627.418.6810.139.0010.4211.7112.8712.7813.764.985.455.125.976.667.398.033.494.164.815.365.883.162.850.761.071.792.523.213.834.505.265.99---------
-1.92-1.25-3.06-2.02-2.84-1.65-3.10-1.93-0.89-0.556.157.268.00-0.91-3.03-2.20-1.42-0.74-2.47-1.78-1.34-0.70-2.13-1.56-1.05-0.68-2.38-1.80-1.21-0.46-2.88-2.25-1.53-0.640.341.491.41-0.74-1.88-1.26-0.71-0.460.000.000.00
-1.98-1.30-3.21-2.12-2.91-1.70-3.48-2.20-1.07-0.645.786.967.86-0.99-3.20-2.30-1.47-0.76-2.61-1.87-1.38-0.71-2.20-1.61-1.08-0.70-2.55-1.93-1.32-0.54-3.49-2.69-1.68-0.71-0.011.311.32-0.82-3.04-2.26-1.48-0.64---