SCYNEXIS Financial Ratios for Analysis 2012-2024 | SCYX

Fifteen years of historical annual and quarterly financial ratios and margins for SCYNEXIS (SCYX).

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
202320222021202020192018201720162015201420132012
6.264.498.033.724.768.764.4315.967.277.410.160.37
0.140.930.490.420.470.330.320.29----3.47
0.1714.040.980.730.890.480.680.41---0.72-1.37
88.8587.6697.63-100.00100.00100.00100.00100.00100.003.2714.69
51.85-1,684.48-462.19--40,430.58-11,666.54-10,241.25-10,823.74-11,030.74-1,166.16-42.74-46.23
51.85-1,684.48-462.19--40,430.58-11,666.54-10,241.25-10,823.74-11,030.74-1,166.16-42.74-46.23
54.40-1,641.37-449.41--39,371.07-11,479.38-10,069.65-10,774.71-10,856.81-1,007.48-14.18-20.06
47.94-1,326.05-273.14--44,388.43-7,472.37-9,750.97-11,668.87-11,026.46-538.93-180.70-68.17
47.84-1,233.73-249.68--44,388.43-4,851.36-9,750.97-11,668.87-12,693.77-467.12-277.68-68.17
1.090.060.11-0.000.000.010.000.010.031.361.39
-0.700.67---------
-2.4215.29-------23.4510.14
-15123.87-------15.5736.01
91.88-1,942.75-79.66-242.49-416.52-39.93-117.05-86.13-67.55-16.7628.1817.54
91.88-2,223.33-81.75-242.49-416.52-39.93-117.05-86.13-67.55-16.7614559.38
52.21-71.53-27.43-53.82-93.98-23.45-54.66-50.16-57.51-14.12-245.91-94.71
78.76-129.16-40.27-140.51-219.97-26.92-79.02-61.11-67.55-16.76145265
1.960.101.441.161.326.517.3914.1530.1739.28-24.79-22.87
1.24-1.87-2.07-4.60-6.80-6.45-9.18-15.42-20.18-15.95-128.180.00
1.24-1.87-2.07-4.60-6.80-6.58-9.18-15.43-20.66-17.14-111.61-

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-31
3.753.726.267.669.011.314.497.267.857.878.037.865.823.833.723.895.555.224.763.584.998.648.764.534.305.934.437.3010.8816.5515.9613.4211.667.927.2710.379.175.817.4111.5110.790.110.16----
--0.140.110.11-0.620.930.720.500.530.490.510.560.320.420.580.740.630.470.670.580.620.330.210.260.230.320.300.290.300.290.30---------------
0.210.170.170.130.12-1.5414.042.630.981.140.981.051.250.470.731.392.881.720.892.051.401.610.480.540.560.400.680.530.460.430.410.43----------0.73-0.72----
100.00100.00-153.3178.4899.6887.8887.1487.8689.1285.5972.0371.90-100.00------100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00-10.77100.00100.0015.83-2.454.25-4.0513.49-
-1,255.03-692.50-397.95-573.4288.63-945.31-1,475.07-1,400.19-1,643.08-2,873.07-3,734.51-3,767.64--13.23-------19,642.11-18,532.81-13,523.08-9,846.87-11,965.62-11,301.56-11,015.39-9,998.44-10,539.06-9,400.00-8,663.08-10,478.12-12,918.75-11,268.75-13,104.69-11,776.56-10,145.31-9,126.15121-7,439.34-6,173.85-37.85-68.48-48.43-38.24-22.61-
-1,255.03-692.50-397.95-573.4288.63-945.31-1,475.07-1,400.19-1,643.08-2,873.07-3,734.50-3,767.64--13.23-------19,642.11-18,532.81-13,523.08-9,846.87-11,965.62-11,301.56-11,015.39-9,998.44-10,539.06-9,400.00-8,663.08-10,478.12-12,918.75-11,268.75-13,104.69-11,776.56-10,145.31-9,126.15121-7,439.34-6,173.85-37.85-68.48-48.43-38.24-22.61-
-----------------------------------------------
-1,964.4068.61-335.54-99.7793.01-2,997.88-946.79-1,900.06-1,008.69-1,477.58-4,898.32-126.94--29.68-------14,742.11-35,793.75-7,378.47548-16,807.81-6,253.13-11,678.47-13,126.56-6,560.94-7,607.81-5,306.16-17,543.75-12,700.00-11,225.00-13,103.13-11,764.06-10,143.75-9,124.62121-7,439.342,5718.76-590.76-95.22-63.96-43.15-
-1,964.4029.93-337.92-99.7793.01-2,997.88-946.78-1,900.06-1,008.69-793.45-3,656.28-117.25--38.81-------14,742.11-35,793.752,985548-16,807.81-6,253.13-9,335.39-13,126.56-6,560.94-9,987.50-5,306.16-17,543.75-12,700.00-11,225.00-13,104.70-13,054.69-14,839.06-9,821.5478.69-6,236.073,032-25.95-590.76-95.12-63.96-43.15-
0.010.010.050.010.850.020.020.010.010.010.010.00-0.12----0.00-0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00-0.090.000.000.360.30----
---0.030.040.120.220.240.230.090.360.23-----------------------------------
---0.7856.060.550.730.620.600.420.6917.79-------------------------0.10-0.060.075.235.12----
---1151.611641241441502131305.06-------------------------943-1,4741,33617.2217.58----
-23.930.55-26.84-1.91131113-446.30-171.91-29.34-14.00-70.88-1.615.13-18.04-187.679.51-100.76-108.47-112.12-129.27-80.78-202.196.211.26-40.51-10.86-35.46-30.81-13.26-14.52-9.91-33.84-18.53-20.50-19.99-15.07-11.44-21.62-10.43-11.624.24-0.3820.11----
-23.930.55-26.84-1.91132112-510.76-179.96-29.91-14.36-72.74-1.665.22-18.30-187.679.51-100.76-108.47-112.12-129.27-80.78-202.196.211.26-40.51-10.86-35.46-30.81-13.26-14.52-9.91-33.84-18.53-20.50-19.99-15.07-11.44-21.62-10.43-11.624.24-2.02104----
-13.410.35-15.25-1.1878.95-48.19-16.43-26.35-9.84-4.89-24.40-0.551.37-4.67-41.652.47-14.10-16.87-25.30-23.48-20.46-50.833.650.68-18.53-6.11-16.56-16.93-8.10-8.59-5.77-18.40-15.19-17.66-17.02-13.42-10.04-17.02-8.79-10.013.643.17-175.51----
-23.930.55-23.01-1.69117183-29.67-47.41-14.79-6.53-35.83-0.792.28-12.26-108.753.98-25.95-39.89-59.21-42.43-33.62-77.324.190.99-29.93-8.34-23.94-21.56-9.38-10.17-7.03-23.72-18.53-20.50-19.99-15.07-11.44-21.62-10.43-11.624.24-2.02104----
1.601.961.962.472.50-0.900.100.531.401.331.441.571.401.261.160.890.600.661.321.071.912.266.515.915.677.877.399.6211.9613.1314.1514.1618.7325.2030.1735.9340.8332.1839.2842.4646.37-24.16-24.79----
-0.31-0.081.241.421.11-0.40-1.87-1.20-0.80-0.48-2.07-1.05-0.47-0.03-4.60-2.45-2.29-1.44-6.80-3.68-2.68-1.32-6.45-4.73-3.44-2.45-9.18-7.16-5.48-2.65-15.42-10.59-12.30-6.44-20.18-13.35-10.47-5.34-15.95-9.11-7.462.64-127.98-88.66-84.34-55.130.00
-0.31-0.081.241.421.11-0.40-1.87-1.20-0.80-0.48-2.07-1.05-0.47-0.03-4.60-2.45-2.29-1.44-6.80-3.68-2.68-1.32-6.58-4.84-3.53-2.45-9.18-7.16-5.48-2.65-15.43-10.60-12.31-6.45-20.66-13.74-10.90-5.54-17.14-9.86-8.051.43-111.61-70.27-64.31-47.74-