Arcadia Biosciences Financial Ratios for Analysis 2013-2024 | RKDA

Fifteen years of historical annual and quarterly financial ratios and margins for Arcadia Biosciences (RKDA).

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
20232022202120202019201820172016201520142013
4.176.037.025.024.987.494.2716.6915.081.660.48
---0.070.01--0.530.381.27-1.35
---0.110.02--1.130.62-7.68-0.84
38.0917.75-28.4435.2924.2954.8592.9771.9383.5271.4089.61
-261.50-188.82-523.98-159.05-1,657.91-1,152.32-355.56-584.07-287.46-217.03-163.11
-261.50-188.82-523.98-159.05-1,657.91-1,152.32-355.56-584.07-287.46-217.03-163.11
-243.04-165.00-416.74-138.31-1,596.15-1,154.99-350.84-570.14-280.46-211.90-157.07
-246.85-145.78-237.94-76.55-2,469.72-920.08-389.49-614.77-331.18-245.55-172.69
-262.31-207.28-216.22-57.94-2,464.07-920.77-390.14-615.56-382.84-316.20-203.69
0.270.260.150.170.040.060.240.060.070.280.68
1.692.631.961.360.493.651.243.553.034.711.50
10.376.084.955.711.948.713.265.986.874.916.33
35.2060.0873.7563.8818841.8911261.0253.1374.3457.70
-103.64-51.81-51.72-21.11-346.78-105.19-196.17-88.40-44.6421.6376.28
-103.96-51.91-52.53-21.70-346.78-105.19-196.17-88.40-44.6497376.28
-66.81-37.44-36.74-12.73-88.64-56.11-94.79-34.69-24.19-73.68-138.28
-103.64-51.81-51.72-19.66-342.38-105.19-196.17-41.47-27.56-262.59179
9.8933.9356.2184.9138.52107150399728-727.10-6,727.08
-12.36-23.33-48.62-121.37-108.11-144.78-259.09-307.57-423.24-5,739.74-3,797.37
-12.27-21.92-50.48-130.72-117.30-147.33-260.48-311.74-427.19-5,794.47-3,836.34

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-31
4.604.614.054.175.155.716.646.037.416.346.557.026.766.6510.085.022.523.124.094.985.585.296.267.499.9410.257.014.276.816.959.7616.6914.5613.7812.6315.087.036.931.031.66----
------------0.000.000.000.070.180.170.010.010.01--------0.590.560.530.480.440.410.380.310.296.661.27----
------------0.000.030.030.110.270.240.010.020.01--------1.711.371.130.910.800.700.620.530.48-1.77-7.68----
32.8651.5334.6623.8936.9849.8844.16-57.0728.1510.65-7.39-72.92-5.68-12.95-3.3875.65-486.31-430.2557.28-34.6254.8556.1662.6648.2066.4937.8483.1898.5393.2188.2989.59-20.9394.4295.1582.7550.3096.6592.5993.1397.93-19.5196.4893.39-
-114.51152-244.14-480.37-107.63-112.10-313.88131-254.20-98.06-143.57-635.84-366.71-546.83-643.24105-2,414.33-2,446.98-1,873.79-958.65-1,579.85-2,454.19-2,669.62-980.63-1,107.84-1,050.00-1,793.93-210.08-613.75-377.09-389.29-1,013.15-365.30-594.87-578.99-302.38-232.31-248.04-455.34-59.04-395.67-383.07-187.51-
-114.51152-244.14-480.37-107.63-112.10-313.88131-254.20-98.06-143.57-635.84-366.71-546.83-643.24105-2,414.33-2,446.98-1,873.79-958.65-1,579.85-2,454.19-2,669.62-980.63-1,107.84-1,050.00-1,793.93-210.08-613.75-377.09-389.29-1,013.15-365.30-594.87-578.99-302.38-232.31-248.04-455.34-59.04-395.67-383.07-187.51-
--------------------------------------------
-76.90142-193.07-430.54-49.23243-747.009.76-145.67-98.42-143.17-440.17-119.32-385.91203119-2,278.98-3,524.56790-1,520.19-3,619.902,087-7,970.25-149.101,204-1,527.06-4,955.61-207.63-766.04-403.43-413.16-1,056.85-387.72-629.68-608.45-301.11-258.69-250.84-683.93-70.41-467.44-396.63-216.92-
-104.8881.24-193.07-189.82-197.7763.45-761.69345-182.61-97.90-139.38-427.54-91.54-374.45249125-2,035.35-3,448.04817-1,500.72-3,619.132,087-7,982.28-145.501,203-1,529.59-4,960.28-207.28-768.25-404.24-414.15-1,057.04-388.37-631.21-609.16-286.55-253.37-318.60-944.17-71.05-574.83-484.98-252.43-
0.100.080.080.080.060.050.04-0.040.050.110.080.050.040.020.010.150.010.010.010.010.010.010.010.020.010.010.010.090.030.020.020.010.020.010.010.020.020.020.040.11----
1.240.650.451.370.310.210.27-0.830.341.051.070.850.460.410.320.460.200.170.020.310.100.110.321.270.350.960.120.090.170.410.442.590.170.110.472.280.100.190.110.17----
1.741.551.652.974.272.061.33-1.010.581.001.161.581.641.220.745.070.840.701.000.693.091.622.002.641.021.522.121.164.401.732.571.014.462.681.231.711.634.012.551.97----
51.6557.8954.5030.3021.0843.7267.43-89.3415689.9177.3756.7955.0473.4712117.7510712990.0013029.1655.4245.0034.0587.8159.0442.4877.8420.4852.0435.0188.8320.1833.5873.2052.6955.1022.4735.3445.74----
-11.6516.00-23.11-51.00-4.1517.79-55.13-0.64-9.15-14.18-15.24-30.64-7.05-12.703.6830.16-59.70-72.6619.82-75.80-99.6851.13-1,992.43-5.0434.44-82.03-1,591.47-36.97-42.42-27.14-22.95-25.71-15.18-14.55-14.63-9.59-10.54-7.676.322.35----
-11.6916.05-23.20-51.15-4.1617.83-55.27-0.64-9.28-14.39-15.48-31.12-8.18-14.673.7431.00-63.40-72.6619.82-75.80-99.6851.13-1,992.41-5.0434.44-82.03-1,591.45-36.97-42.42-27.14-22.95-25.71-15.18-14.55-14.63-9.59-10.54-7.6779.50105----
-7.7610.65-15.10-32.87-2.7211.77-30.26-0.46-6.64-10.85-11.88-21.76-4.79-7.662.3718.18-21.15-26.197.51-19.37-38.0316.72-57.46-2.6916.35-21.42-46.97-17.86-23.84-8.27-8.01-10.09-6.78-6.93-7.40-5.20-5.78-4.33-29.88-7.99----
-11.6516.00-23.11-51.00-4.1517.79-55.13-0.64-9.15-14.18-15.24-30.64-7.04-12.683.6728.08-49.24-60.4819.61-74.84-98.8951.13-1,992.42-5.0434.44-82.03-1,591.45-36.97-42.42-11.18-10.17-12.06-7.94-8.08-8.58-5.92-7.30-5.47-450.19-28.47----
7.448.497.699.8913.8716.0019.4533.9340.6148.2554.5256.2172.5377.0285.6884.9144.3254.2156.5038.5265.8552.895.3010710868.1210.75150200277344399495564641728798880-2,811.36-727.10----
-5.44-4.16-2.36-12.36-8.20-6.09-4.01-23.33-18.93-14.86-8.80-48.62-34.64-20.12-9.89-121.37-87.56-70.97-42.75-108.11-70.21-66.70-33.24-144.78-91.61-83.65-47.89-259.09-211.47-167.22-81.70-307.57-230.39-159.74-87.84-423.24-204.61-221.48-1,001.64-5,684.62-4,705.72-3,275.84-826.840.00
-5.20-4.05-2.35-12.27-8.18-6.06-3.98-21.92-17.54-13.43-7.46-50.48-36.30-21.44-10.91-130.72-95.14-78.47-46.34-117.30-75.26-69.19-33.98-147.33-92.27-84.37-48.33-260.48-212.84-168.23-82.65-311.74-234.39-163.31-90.32-427.19-206.07-222.25-1,004.34-5,738.46-4,718.53-3,275.06-826.84-