Avita Medical Financial Ratios for Analysis 2010-2024 | RCEL

Fifteen years of historical annual and quarterly financial ratios and margins for Avita Medical (RCEL).

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
2023202220212020201820172016201520142013201220112010
7.888.1816.4210.175.742.864.864.334.335.509.759.183.65
0.45---0.01--------
0.81---0.01--------
84.4882.4579.6579.1657.3357.1759.9272.5472.5574.8075.7879.3779.91
-68.15-77.32-90.73-294.42-1,083.71-1,063.78-1,122.13-282.21-282.23-269.11-335.64-136.00-78.13
-68.15-77.32-90.73-294.42-1,082.10-1,062.69-1,122.13-282.21-282.23-269.11-335.64-136.00-78.13
-66.89-75.67-88.29-291.16-1,073.41-1,050.86-1,113.77-279.93-282.23-269.11-335.64-136.00-78.13
-70.43-77.36-90.81-294.65-1,083.71-1,063.77-1,122.13-282.21-282.21-248.37-292.04-168.63-41.52
-70.56-77.47-90.94-294.68-999.85-974.99-1,025.14-258.44-258.44-191.87-287.54-166.74-39.51
0.450.350.230.170.070.150.120.510.510.300.170.310.57
1.392.843.612.640.610.490.291.271.270.681.231.271.06
6.527.803.955.860.300.570.501.831.833.192.433.744.19
56.0146.8092.4462.241,20164073620020011415097.5987.18
-72.12-31.47-22.98-58.05-86.95-224.74-149.90-168.55-436.59-123.54-51.61-56.21-39.73
-72.85-31.64-23.08-58.35-86.95-224.74-149.90-168.55-134.01-123.17-51.81-67.12-108.54
-31.69-27.14-21.18-50.97-71.77-150.12-119.40-130.58-103.82-101.14-46.31-51.00-22.82
-39.81-31.47-22.98-58.05-86.33-224.74-149.90-168.55-134.01-123.35-51.57-56.21-39.73
38.2167.2392.9067.481.150.610.940.83-----
-30.00-15.27-22.85-22.41-1.36-0.96-1.16-1.52-0.50-2.48-1.850.000.00
-31.09-15.63-23.64-22.99-1.40-0.94-1.17-1.53-0.51-2.50-1.88--

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-09-302019-06-302018-12-312018-06-302017-12-312017-06-302016-06-302015-12-312015-06-302014-12-312014-06-302013-12-312013-06-302012-12-312012-06-302011-12-312011-06-302010-12-31
5.297.257.886.255.617.218.189.6411.6413.96-13.7716.4217.518.319.25--------------------
0.630.560.45------0.01--------------------------
1.711.270.81------0.01--------------------------
86.1186.3787.3584.5181.2584.2085.7583.1783.3776.42-84.5080.0875.5283.9181.64-83.6580.95-----------------
-92.22-155.55-41.78-63.69-88.18-87.07-56.30-61.35-75.02-125.47--84.52-45.63-68.27100.00-201.78--388.01-109.38-----------------
-92.22-155.55-41.78-63.69-88.18-87.07-56.30-61.35-75.02-125.47--84.52-45.63-68.27--201.78--388.01-109.38-----------------
------------------------------------
-101.09-167.76-49.69-63.77-88.24-87.11-56.36-61.42-75.07-125.47--84.64-45.72-68.31-110.33-201.92--388.14-109.72-----------------
-101.30-168.03-49.77-63.85-88.35-87.39-56.62-61.46-75.12-125.52--84.73-45.79-68.42-110.54-202.11--388.14-109.72-----------------
0.170.110.130.170.140.110.100.090.080.07-0.060.080.070.070.07--------------------
0.310.210.320.480.720.590.630.780.690.99-0.581.251.200.360.56--------------------
1.721.561.842.251.902.102.142.091.971.81-1.891.391.602.141.85--------------------
52.1957.6248.7840.0847.4542.8142.0143.0145.5949.70-47.7164.6656.2741.9948.58--------------------
-64.37-57.29-14.40-13.83-15.13-11.89-6.32-6.35-6.76-9.67--5.33-4.08-5.04--15.62--------------------
-65.87-58.26-14.55-13.94-15.23-11.96-6.35-6.38-6.80-9.72--5.36-4.10-5.06--15.71--------------------
-17.53-19.16-6.33-10.75-12.03-9.95-5.45-5.59-6.10-8.89--4.91-3.76-4.68--13.56--------------------
-23.72-25.26-7.95-13.83-15.13-11.89-6.32-6.35-6.76-9.60--5.33-4.08-5.04--15.62--------------------
18.4325.2738.2049.3053.9761.2567.2370.2874.0578.39-89.4892.9095.7755.1360.58--------------------
-26.12-16.27-30.00-21.38-14.40-7.20-15.27-12.52-10.31-7.510.00-10.55-10.09-7.51-12.38-7.170.00-15.87-5.210.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
-29.07-17.17-31.09-22.23-14.86-7.43-15.63-12.83-10.54-7.57--10.94-10.42-7.80-12.82-7.37--16.30-5.31-----------------