ReShape Lifesciences Financial Ratios for Analysis 2014-2024 | RSLS

Fifteen years of historical annual and quarterly financial ratios and margins for ReShape Lifesciences (RSLS).

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
2023202220212020201920182017201620152014
2.731.323.980.774.591.665.1717.002.4823.21
---0.39--0.180.131.050.25
---0.88-0.760.280.15-25.280.33
63.9360.5261.3855.4210.0940.4151.2917.2138.0317.72
-177.26-412.38-425.60-110.25-708.02-406.16-346.89-574.86-369.72-278.04
-177.26-412.38-425.60-110.25-708.02-406.16-346.89-574.86-369.72-278.04
-175.49-393.22-407.48-80.48-678.70-399.92-342.96-563.45-357.19-270.39
-130.62-414.54-466.32-193.03-721.61-410.72-350.67-603.21-385.17-279.46
-131.22-411.16-464.31-191.43-721.61-410.72-350.67-603.21-385.17-279.46
0.811.010.260.300.160.300.190.040.280.17
0.841.231.752.241.523.433.413.406.906.54
5.235.164.834.3111.5110.462.356.596.3513.93
69.7870.7975.5584.6431.7134.8915555.4057.4726.20
-170.90-1,262.35-142.43-149.31-149.38-285.19-99.01-31.8328.2124.81
-170.90-1,358.84-268.63173-149.38-285.19-99.01-31.833,536-66.07
-106.79-414.77-120.21-58.36-116.10-123.02-65.47-25.98-109.39-47.73
-170.90-1,262.33-142.43-91.44-149.38-285.19-80.70-27.59-179.77-49.83
16.514107,2204.162.055.582.013.84-0.7728.11
-165.53-3,003.24-4,090.64-2.19-4.86-15.47-1.83-4.59-19.90-18.68
-165.63-3,015.85-4,184.29-2.29-4.90-16.15-1.90-4.68-20.13-19.18

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302014-12-31
1.331.902.242.731.662.392.001.321.812.122.903.983.641.081.860.771.791.922.174.595.721.691.201.664.852.984.295.178.7813.2719.1917.003.453.47-----
---------------0.390.070.06------0.320.270.220.180.170.160.150.130.740.46-----
------------0.040.050.040.880.070.06---0.603.060.760.490.620.410.280.230.200.170.152.901.27-----
62.7857.7159.9392.9459.7752.9753.5251.4575.0965.1149.9256.5257.5861.0170.9155.7063.3349.1830.6420.33-23.72-75.9130.5926.1352.5336.6042.8753.9052.8549.5744.09-12.8216.6913.7441.81-41.08--
-76.83-104.53-113.68-95.66-180.05-176.40-246.22-536.75-439.64-319.64-332.50-1,175.65-404.10-104.90-70.07-45.56-60.30-176.15-629.62-632.15-1,123.72-1,661.40-456.34-425.34-222.13-351.46-896.58-268.74-327.88-389.20-522.49-975.91-575.94-523.11-322.17--308.33--
-76.83-104.53-113.68-95.66-180.05-176.40-246.22-536.75-439.64-319.64-332.50-1,175.65-404.10-104.90-70.07-45.56-60.30-176.15-629.62-632.15-1,123.72-1,661.40-456.34-425.34-222.13-351.46-896.58-268.74-327.88-389.20-522.49-975.91-575.94-523.11-322.17--308.33--
---------------------------------------
-68.72-80.41-112.09-84.11-163.85-154.79-115.78-531.35-448.50-326.24-331.35-1,176.58-478.13-109.78-150.54-147.23-144.86-214.69-674.49-624.27-1,112.91-1,753.11-467.04-430.06-225.81-356.99-900.89-274.11-329.03-393.79-526.15-970.85-680.47-530.30-334.99--325.89--
-68.98-81.17-112.81-85.67-163.99-154.97-116.40-529.55-435.53-326.56-332.58-1,167.12-477.32-110.57-151.32-145.47-143.78-211.75-674.49-624.27-1,112.91-1,753.11-467.04-430.06-225.81-356.99-900.89-274.11-329.03-393.79-526.15-970.85-680.47-530.30-334.99--325.89--
0.410.310.240.190.280.190.140.280.100.070.050.060.040.030.190.140.300.120.040.040.010.020.050.070.080.080.030.070.050.030.020.010.040.04-----
0.290.260.220.040.270.320.300.420.170.240.310.450.490.48-1.03--0.380.320.200.320.660.950.730.940.411.201.441.330.891.051.471.41-----
1.711.421.241.191.001.141.081.431.251.181.011.121.071.03-1.99--1.692.761.400.860.972.341.080.900.530.871.111.121.421.501.501.33-----
52.7763.3072.5075.3389.9278.8683.6263.0971.7376.1888.8980.6383.9187.27-45.22--53.1932.5964.3210492.7438.4683.6110017110381.2280.5663.2860.0459.9667.59-----
-106.32-52.55-48.37-25.48-114.63-51.84-34.31-449.85-58.19-29.18-21.01-82.72-22.34-6.71-48.27-52.36-87.45-50.21-47.52-31.00-18.47-80.68-127.19-66.80-33.47-60.76-49.65-28.82-21.07-15.39-13.57-11.667.846.59-----
-106.32-52.55-48.37-25.48-114.63-53.74-35.45-484.24-144.56-75.87-44.46-156.00-59.60-51.53-55.4260.52-87.45-50.21-47.52-31.00-18.47-80.68-127.19-66.80-33.47-60.76-49.65-28.82-21.07-15.39-13.57-11.66-154.48-52.91-----
-28.16-24.95-26.64-15.92-45.15-29.47-16.28-147.81-42.82-22.53-17.17-69.81-19.51-3.25-28.10-20.47-43.30-25.98-27.36-24.09-15.03-35.25-25.61-28.82-18.29-30.04-29.94-19.06-15.52-11.90-10.97-9.51-28.44-20.58-----
-106.32-52.55-48.37-25.48-114.63-51.84-34.31-449.85-58.19-29.18-21.01-82.72-22.34-6.71-48.27-32.07-81.53-47.37-47.52-31.00-18.47-80.68-127.19-66.80-22.82-44.27-38.62-23.49-17.48-12.86-11.57-10.10-39.58-28.62-----
2.116.0011.2416.4951.911131704102,6944,7936,0377,22013,02020,6821.014.160.760.931.432.052.600.240.275.580.870.901.392.012.512.993.413.842.4613.45-----
-7.35-7.90-5.14-165.53-241.72-209.78-172.27-3,003.24-2,458.75-2,078.56-1,156.21-4,090.64-2,032.74-0.91-0.50-2.19-1.73-2,444.70-0.62-4.86-2.97-5.21-4.18-15.47-12.35-1.10-0.62-1.83-1.28-0.87-0.50-4.59-14.11-15.00-8.660.00-12.510.000.00
-7.35-7.90-5.14-165.63-241.88-209.96-172.51-3,015.85-2,460.42-2,075.55-1,155.90-4,184.29-2,081.22-0.96-0.53-2.29-1.79-2,479.20-0.67-4.90-2.98-5.22-4.18-16.15-12.80-1.14-0.65-1.90-1.33-0.90-0.53-4.68-14.38-15.11-8.74--12.66--