Rockwell Medical Financial Ratios for Analysis 2009-2024 | RMTI

Fifteen years of historical annual and quarterly financial ratios and margins for Rockwell Medical (RMTI).

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
1.732.001.685.432.983.555.347.7410.469.661.790.491.895.095.41
0.320.410.840.38------0.97-0.000.000.00
0.490.848.120.61------33.960.000.000.000.00
10.415.60-3.914.384.63-2.506.4612.6716.1515.7712.7113.4311.5216.5614.41
-7.98-23.05-48.98-45.69-56.32-51.18-45.24-37.93-27.28-32.40-89.84-108.87-44.29-4.82-10.02
-7.98-23.05-48.98-45.69-56.32-51.18-45.24-37.93-27.28-32.40-89.84-108.87-44.29-4.82-10.02
-2.52-18.98-44.33-41.54-51.99-50.15-44.34-36.50-25.80-28.94-87.49-106.69-41.88-2.48-7.76
-10.09-25.65-52.76-49.66-55.67-50.68-45.24-36.41-26.05-39.36-93.13-108.38-43.79-4.51-10.05
-10.27-25.65-52.76-49.66-55.67-50.68-45.24-37.16-26.05-39.36-93.13-108.38-43.79-4.51-10.05
1.601.561.280.801.381.210.970.640.630.551.442.931.531.611.57
12.7611.8215.7915.2016.0316.097.023.835.9011.6416.3316.2817.3016.9215.17
7.6711.6310.4714.9114.598.629.028.3310.9712.1211.4411.2511.6013.2115.67
47.5931.3834.8524.4825.0242.3340.4843.7933.2830.1231.9032.4631.4827.6223.29
-39.64-132.42-1,288.90-90.40-167.95-117.78-78.76-37.39-23.14-31.04-8,191.62542-117.54-8.79-18.76
-87.81-141.67-2,024.41-92.91-175.93-121.89-81.02-38.06-23.55-31.625,914468-130.04-9.11-19.52
-16.18-40.05-67.27-39.73-77.01-61.12-44.10-23.81-16.42-21.76-134.16-317.31-67.14-7.26-15.77
-27.11-78.61-207.65-56.04-167.95-117.78-78.76-37.39-23.14-31.04-263.52542-117.52-8.78-18.75
0.731.160.304.023.425.266.9911.3113.3115.030.16-5.1010.7319.1818.76
-0.40-1.18-3.93-4.31-4.92-4.25-4.55-2.70-2.931.13-16.95-16.58-6.671.35-1.07
-0.42-1.20-3.99-4.46-5.03-4.41-4.91-2.78-3.110.95-17.17-16.86-6.930.86-2.26

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
2.412.001.791.731.321.581.972.002.192.551.271.682.121.545.275.436.134.484.452.983.273.252.563.552.533.165.245.348.038.327.197.7410.919.1510.7110.4610.3712.589.099.661.151.421.591.792.152.930.500.490.871.692.451.892.924.754.915.096.505.415.445.411.581.782.12
0.250.290.320.320.190.410.390.410.360.341.690.840.56-0.450.380.330.560.49---------------------1.831.371.280.970.760.54---0.000.000.000.000.000.000.000.000.000.000.000.000.000.00
0.350.430.500.490.521.230.940.840.870.77-3.838.121.91-0.800.610.501.280.95----------------------3.67-5.23-5.7733.963.181.160.000.000.000.000.000.000.000.000.000.000.000.000.000.000.010.010.02
22.0317.6113.5112.999.265.7113.2112.124.169.34-4.87-14.54-2.06-1.732.592.542.265.547.027.18-0.114.946.497.0311.81-26.94-4.82-8.267.3211.3116.1614.8512.3311.0712.4414.5517.4115.9516.6517.8316.5215.4912.9614.7512.4712.9810.3813.0912.9714.1813.5212.9811.499.0712.4316.5916.2817.8715.4416.4517.0014.299.32
6.841.99-5.84-2.48-7.31-16.37-7.26-10.17-19.84-23.99-41.09-54.52-43.61-51.68-46.42-53.23-43.78-35.25-50.80-47.79-51.55-69.86-56.62-55.92-29.98-82.46-38.26-62.15-34.36-50.73-33.98-39.30-37.08-41.54-33.80-42.90-17.88-20.49-27.46-34.75-22.78-18.28-54.19-53.91-94.42-90.69-124.76-105.27-141.20-98.82-88.77-75.28-42.72-39.11-22.55-12.71-5.150.70-2.66-3.73-10.72-13.12-13.33
6.841.99-5.84-2.48-7.31-16.37-7.26-10.17-19.84-23.99-41.09-54.52-43.61-51.68-46.42-53.23-43.78-35.25-50.80-47.79-51.55-69.86-56.62-55.92-29.98-82.46-38.26-62.15-34.36-50.73-33.98-39.30-37.08-41.54-33.80-42.90-17.88-20.49-27.46-34.75-22.78-18.28-54.19-53.91-94.42-90.69-124.76-105.27-141.20-98.82-88.77-75.28-42.72-39.11-22.55-12.71-5.150.70-2.66-3.73-10.72-13.12-13.33
---------------------------------------------------------------
5.881.33-7.63-6.84-7.88-18.28-8.90-12.22-22.42-26.59-44.42-58.31-47.42-55.49-50.10-57.14-48.10-43.36-50.35-47.14-50.98-69.33-55.78-55.63-29.81-82.01-37.12-60.92-34.57-53.48-32.50-37.75-35.61-39.85-32.43-40.83-16.79-19.58-26.64-44.18-28.87-24.33-60.21-59.67-100.87-91.37-124.67-105.18-140.87-98.19-87.85-75.25-42.08-38.45-21.91-11.61-5.040.75-2.63-3.72-10.75-13.18-13.41
5.881.33-7.63-7.52-7.88-18.28-8.90-12.22-22.42-26.59-44.42-58.31-47.42-55.49-50.10-57.14-48.10-43.36-50.35-47.14-50.98-69.33-55.78-55.63-29.81-82.01-37.12-60.92-34.57-53.48-32.50-37.75-35.61-39.85-35.40-40.83-16.79-19.58-26.64-44.18-28.87-24.33-60.21-59.67-100.87-91.37-124.67-105.18-140.87-98.19-87.85-75.25-42.10-38.45-21.91-11.61-5.040.75-2.63-3.72-10.75-13.18-13.41
0.500.490.450.420.450.480.490.410.340.320.430.320.270.240.220.200.180.270.240.350.320.260.320.320.440.360.290.250.220.190.180.160.150.150.150.160.160.140.140.150.580.500.480.380.300.240.690.760.520.360.310.370.350.350.380.390.410.420.420.420.890.820.80
3.753.623.233.273.932.933.052.923.573.283.064.314.053.293.663.783.853.293.433.944.303.553.643.883.164.191.832.100.910.850.910.940.961.091.301.531.601.722.233.033.853.963.884.254.073.873.864.264.133.774.324.134.744.554.184.074.874.454.973.994.393.964.12
3.192.382.042.032.543.343.273.092.542.312.262.592.652.832.353.643.704.463.463.693.012.752.322.292.062.552.492.332.722.712.012.091.601.772.192.802.443.292.983.233.282.043.163.053.102.842.762.932.942.782.852.822.812.622.843.183.183.375.044.232.782.742.63
28.2437.7744.0344.4135.4426.9427.5529.1735.4738.9739.7534.7133.9831.8538.3724.7624.3220.1926.0324.4229.9232.6738.8239.2543.6335.3336.0938.5533.0733.1744.7242.9756.4050.7841.1032.1436.9127.3630.2527.8627.4444.1228.4729.5129.0231.7232.5530.6830.6332.3331.5431.9532.0034.2931.7428.3228.3026.6917.8521.2932.3332.8234.25
5.711.46-8.39-7.10-8.70-34.69-13.95-16.73-25.97-24.66149-352.70-68.33-46.15-29.61-25.36-17.47-42.51-36.67-35.94-33.14-34.78-43.05-34.37-39.22-72.42-20.28-27.46-12.40-16.15-9.37-9.54-8.18-9.30-8.01-9.26-3.75-3.84-5.45-9.2972.6781.01221-1,399.11-216.49-68.82146137-1,525.79-71.41-41.30-49.07-20.20-16.37-9.99-5.45-2.370.38-1.32-1.87-17.29-17.93-16.16
9.312.84-19.02-15.73-19.30-38.40-15.06-17.90-27.54-25.84125-553.97-74.52-48.61-30.69-26.06-17.86-45.07-38.29-37.64-34.48-35.90-45.11-35.57-42.30-76.59-20.99-28.25-12.69-16.50-9.55-9.71-8.33-9.47-8.15-9.42-3.81-3.91-5.55-9.4658.7460.381591,010-284.73-75.401281183,906-79.36-44.26-54.29-21.73-17.03-10.37-5.65-2.460.39-1.37-1.95-19.90-20.40-18.14
2.920.65-3.41-2.90-3.56-8.69-4.32-5.06-7.73-8.40-19.13-18.41-12.92-13.19-11.16-11.14-8.62-11.76-11.95-16.48-16.33-18.03-17.80-17.84-13.05-29.53-10.68-15.38-7.68-10.19-5.89-6.08-5.51-6.15-5.41-6.57-2.66-2.77-3.81-6.51-16.62-12.25-29.13-22.91-30.29-21.96-85.59-80.31-73.80-34.92-26.80-28.03-14.58-13.31-8.35-4.50-2.050.32-1.11-1.58-9.61-10.76-10.68
4.311.04-5.71-4.86-7.05-20.54-8.47-9.93-16.69-16.27-102.53-56.82-30.10-46.15-16.42-15.72-11.68-18.64-18.80-35.94-33.14-34.78-43.05-34.37-39.22-72.42-20.28-27.46-12.40-16.15-9.37-9.54-8.18-9.30-8.01-9.26-3.75-3.84-5.45-9.29-60.19-30.00-61.47-45.01-51.74-31.86146137-1,525.78-71.41-41.30-49.06-20.19-16.37-9.99-5.45-2.370.38-1.32-1.87-17.24-17.88-16.12
0.900.760.700.730.760.571.001.161.452.14-0.560.301.302.133.084.024.952.543.473.424.085.133.885.262.693.595.826.998.679.3210.6911.3111.9012.3012.8513.3114.1114.4514.8415.03-1.46-1.05-0.950.161.684.75-4.47-5.100.618.6213.5910.7314.8416.8818.0819.1819.7419.7519.0818.766.817.408.26
0.10-0.03-0.08-0.40-0.34-0.30-0.21-1.18-0.91-1.36-1.15-3.93-2.87-2.05-1.47-4.31-3.23-2.56-1.07-4.92-3.79-2.98-1.05-4.25-3.14-2.11-0.99-4.55-3.50-2.61-1.12-2.70-2.82-1.37-0.23-2.93-2.97-2.13-0.731.13-3.62-3.75-2.86-16.95-11.89-11.58-5.86-16.58-12.51-7.91-4.70-6.67-4.46-3.10-2.901.350.821.001.24-1.07-1.41-1.36-1.54
0.08-0.04-0.09-0.42-0.35-0.32-0.22-1.20-0.92-1.36-1.15-3.99-2.92-2.08-1.47-4.46-3.38-2.60-1.10-5.03-3.86-3.04-1.07-4.41-3.27-2.19-1.02-4.91-3.65-2.70-1.15-2.78-2.89-1.42-0.28-3.11-3.04-2.18-0.750.95-3.79-3.86-2.96-17.17-12.03-11.69-5.93-16.86-12.71-8.04-4.75-6.93-4.68-3.24-2.980.860.380.701.04-2.26-2.25-1.81-1.72