Revance Therapeutics Financial Ratios for Analysis 2011-2024 | RVNC

Fifteen years of historical annual and quarterly financial ratios and margins for Revance Therapeutics (RVNC).

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
2023202220212020201920182017201620152014201320122011
3.804.953.667.387.246.5013.659.8121.1016.870.100.053.40
1.550.970.800.33---0.010.020.00-0.09-0.1014.69
-2.8530.164.100.48--0.010.030.030.02-0.76-0.88-1.15
68.2361.0369.9168.88100.00100.00100.00100.00100.00100.00100.00100.0099.10
-135.35-257.96-353.06-1,782.46-39,820.59-3,824.99-45,963.36-29,405.00-24,105.66-13,590.08-6,195.30-6,023.15-4,979.89
-135.35-257.96-353.06-1,782.46-39,820.59-3,824.99-45,963.36-29,405.00-24,105.66-13,590.08-6,195.30-6,023.15-4,979.89
-91.41-176.00-325.82-1,654.87-39,754.72-3,808.29-45,246.57-28,519.33-23,240.33-12,675.20-5,186.22-4,697.63-3,702.16
-138.30-268.34-361.59-1,857.81-38,602.66-3,742.77-46,025.57-29,756.66-24,492.00-16,427.42-8,500.49-8,125.38-8,054.40
-138.43-268.87-361.59-1,840.71-38,602.66-3,823.22-46,025.57-29,756.66-24,492.00-16,427.4241.82-8,125.38-8,054.40
0.490.230.150.020.000.020.000.000.000.000.030.050.01
1.632.822.310.81---------
8.4611.6923.248.38-0.145.46------
43.1631.2215.7143.56-2,64366.87------
214-2,828.75-410.85-75.37-70.70-97.90-44.85-50.41-29.01-35.6733.2926.8828.85
201357210-180.85-70.70-97.90-44.85-50.41-29.01-35.6715648.0374.71
-67.72-61.25-52.96-39.17-46.85-62.99-40.78-43.68-26.64-32.69-231.61-434.02-112.36
-117.82-90.93-80.58-50.84-70.70-97.90-44.85-49.89-28.41-35.5517052.82-1,022.63
-1.720.150.965.414.313.947.366.188.957.42-128.61-594.58-301.75
-2.56-2.66-3.28-3.08-2.44-2.88-3.17-2.13-2.29-2.84-46.41-194.03-143.17
-2.64-2.71-3.44-3.15-2.52-11.55-3.25-2.19-2.42-3.20-52.70-195.62-143.93

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-31
4.123.745.373.804.735.124.144.955.563.384.023.664.466.097.997.387.0710.4812.457.246.465.598.136.506.798.5811.8913.657.287.938.219.8111.9118.3419.1021.1012.2213.5124.2216.8712.9511.014.030.10-----
1.631.441.301.551.330.931.080.970.721.010.940.800.700.600.530.330.320.410.36-----------0.010.010.010.020.020.020.040.040.000.000.010.000.01-0.09-----
-2.71-3.46-4.36-2.85-4.1114.78-14.9430.162.66-150.5515.544.102.331.501.150.480.480.680.56-------0.000.010.020.020.030.030.030.030.030.030.060.070.010.020.050.060.18-0.76-----
70.5573.0371.2965.5868.9167.6472.7252.9063.0066.4368.7569.6370.1971.1468.2967.1071.7192.98100.00100.00100.00-100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00104100.00100.00100.00--
-53.87-52.79-90.16-220.91-69.42-103.55-102.04-289.28-267.05-203.90-246.31-237.40-368.31-374.05-526.45-700.34-2,011.16-19,098.66-105,103.50-51,876.43-92,478.25--13,175.18-7,871.31-1,424.26-5,090.23-18,477.72-96,700.05-40,954.66-35,788.00-36,117.33-35,551.99-23,630.67-32,112.00-26,325.33-29,047.99-25,024.00-22,117.33-20,233.33-18,462.67-18,433.33-17,189.33-7,269.62-2,896.44-5,232.91-15,130.67-12,902.67--
-53.87-52.79-90.16-220.91-69.42-103.55-102.04-289.28-267.05-203.90-246.31-237.40-368.31-374.05-526.45-700.34-2,011.16-19,098.66-105,103.50-51,876.45-92,478.25--13,175.18-7,871.31-1,424.26-5,090.23-18,477.72-96,700.05-40,954.66-35,788.00-36,117.33-35,552.00-23,630.67-32,112.00-26,325.33-29,048.00-25,024.00-22,117.33-20,233.33-18,462.68-18,433.33-17,189.33-7,269.62-2,896.44-5,232.91-15,130.67-12,902.67--
-------------------------------------------------
-61.15-57.30-95.36-223.10-72.34-106.90-105.89-292.37-289.48-216.56-254.71-243.15-376.68-383.94-538.68-727.83-2,118.83-20,264.21-106,608.60-50,928.10-90,019.57--12,699.28-7,708.40-1,390.09-4,967.93-18,153.88-97,043.27-40,868.00-35,832.00-36,208.00-35,736.00-23,970.66-32,802.66-26,517.33-29,458.65-25,566.66-22,406.67-20,536.00-18,949.35-18,636.00-17,736.00-13,560.76-3,266.99-5,622.15-15,772.00-28,876.00--
-63.65-57.31-102.34-69.85-260.90-123.72-130.63-292.37-291.89-216.56-254.71-243.15-376.68-383.94-538.68-703.40-2,118.83-20,264.21-106,781.00-50,928.10-90,019.57--12,699.28-8,323.15-1,390.09-4,967.93-18,153.88-97,043.27-40,868.00-35,832.00-36,208.00-35,735.99-23,970.67-32,802.66-26,517.33-29,458.66-25,566.66-22,406.67-20,536.00-18,949.34-18,636.00-17,736.00-13,560.76-4,526.54-8,096.84-21,000.006,955--
0.130.130.100.170.100.090.080.090.040.050.040.050.030.030.020.020.010.000.000.000.00-0.000.000.010.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.01-----
0.210.260.300.600.360.510.451.280.630.700.740.780.581.070.750.620.270.03-------------------------------
1.241.811.742.882.133.192.984.402.475.075.657.7511.9129.342.566.091.486.10--0.01--0.02---0.77---------------------
72.5449.6751.7931.2242.2728.1930.2320.4436.3917.7315.9311.617.563.0735.1014.7960.6614.75--9,783--4,980---117---------------------
23.3828.8850.1911737.14-217.15182-1,158.35-58.122,335-251.92-92.15-61.90-38.77-29.33-20.92-21.79-23.69-20.08-20.10-27.37-19.83-15.97-27.89-18.03-16.24-14.81-13.36-21.58-16.86-15.20-15.14-8.96-11.40-8.40-8.72-13.47-11.29-9.42-8.06-7.44-6.70-27.238.88-----
22.3327.1746.1111133.8073.7735.8914619231.2537.2847.1586.19296-243.29-50.20-52.94-27.04-22.44-20.10-27.37-19.83-15.97-27.89-18.03-16.24-14.81-13.36-21.58-16.86-15.20-15.14-8.96-11.40-8.40-8.72-13.47-11.29-9.42-8.06-7.44-6.70-27.2341.67-----
-8.26-7.57-9.75-37.18-7.41-9.73-8.85-25.08-11.90-10.93-10.06-11.88-12.78-11.27-10.60-10.87-11.41-10.52-10.45-13.32-15.58-12.64-10.88-17.94-14.09-13.15-12.30-12.14-18.12-14.37-12.97-13.12-7.92-10.38-7.68-8.01-11.59-9.82-8.77-7.38-6.69-5.96-20.04-61.77-----
-14.77-12.77-15.18-64.69-12.29-14.29-13.72-37.24-16.14-16.35-15.95-18.07-18.57-15.49-13.67-14.11-14.77-14.09-12.91-20.10-27.37-19.83-15.97-27.89-18.03-16.24-14.81-13.36-21.58-16.86-15.12-14.98-8.83-11.21-8.24-8.54-12.91-10.79-9.39-8.03-7.40-6.68-27.0945.21-----
-1.55-1.24-0.95-1.72-1.210.30-0.320.151.77-0.040.360.961.672.593.425.415.604.465.414.313.434.275.023.944.925.686.447.364.595.245.936.187.047.588.328.955.866.226.837.427.928.454.22-128.61-----
-1.42-1.03-0.72-2.56-2.01-1.47-0.86-2.66-2.26-1.51-0.90-3.28-2.61-1.83-1.12-3.08-1.92-1.12-0.80-2.44-1.68-0.94-0.27-2.88-2.02-1.32-0.31-3.17-2.21-1.53-0.74-2.13-1.65-1.14-0.56-2.29-1.65-1.08-0.55-2.84-1.97-1.72-1.90-160.77-147.65-130.46-10.360.000.00
-1.44-1.05-0.74-2.64-2.07-1.48-0.87-2.71-2.29-1.52-0.92-3.44-2.70-1.91-1.18-3.15-1.95-1.14-0.81-2.52-1.75-0.97-0.30-11.55-2.12-1.38-0.34-3.25-2.28-1.58-0.75-2.19-1.69-1.17-0.58-2.42-1.77-1.18-0.63-3.20-2.20-1.89-1.99-182.56-159.32-141.53-10.87--