Sanuwave Health Financial Ratios for Analysis 2009-2024 | SNWV

Fifteen years of historical annual and quarterly financial ratios and margins for Sanuwave Health (SNWV).

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
0.150.110.080.220.200.070.110.120.430.650.270.191.970.140.93
---0.02-0.01-----10.10--7.11-4.711.40-1.042.96
-0.53-0.35-0.32-0.33-0.61-0.70-0.61-0.78-0.91-3.46-0.89-0.83-3.51-0.91-1.51
70.4174.1361.6871.3647.6162.5167.2458.9370.4974.0476.2871.3767.3765.6465.83
-2.65-53.47-108.70-621.15-854.87-388.11-517.85-241.01-459.63-703.77-746.97-788.12-1,097.61-1,620.93-1,309.25
-2.65-53.47-108.70-621.15-854.87-388.11-517.85-241.01-459.63-703.77-746.97-788.12-1,097.61-1,620.93-1,309.25
36.27-18.22-74.40-584.27-847.95-229.19-441.29-198.58-426.21-664.37-706.18-745.59-1,057.02-1,464.93-1,207.57
-126.50-61.47-209.31-762.56-1,013.86-628.70-749.86-465.64-498.22-705.02-1,494.29-832.21-1,275.75-2,081.47-1,390.41
-126.52-61.48-209.52-762.56-1,013.86-628.70-749.86-467.93-498.22-705.02-1,412.41-832.21-1,275.75-2,048.53-931.26
0.910.840.700.180.301.570.581.371.010.180.500.420.130.240.11
2.054.994.790.390.991.941.052.441.000.810.770.750.660.540.38
6.164.165.391.7213.627.884.842.9912.979.815.738.769.847.6213.77
59.3087.8467.7521226.8046.3275.3812228.1537.2263.7541.6737.0947.8826.50
59.7725.1069.9722610475.7456.0592.7181.8438519598.20666142136
47.0319.2752.3611210475.7456.0592.7177.7827617082.6433312199.40
-115.13-51.79-146.40-134.35-308.39-987.61-433.05-637.65-501.93-128.02-752.79-345.93-166.05-492.60-136.07
59.7725.1071.5822810475.7456.0592.719083851,583560-266.28290-265.79
-14.02-27.68-29.96-10.79-12.69-36.54-26.27-18.66-34.52-9.46-59.75-114.93-27.22-263.26-174.22
-2.12-11.57-4.58-12.46-11.66-8.97-4.08-11.01-20.41-51.30-51.66-75.97-166.68-168.13-203.68
-2.11-11.35-4.96-12.51-11.76-9.08-4.08-11.04-19.82-51.37-51.57-76.00-167.48-167.93-203.69

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.150.150.150.090.080.060.110.130.100.060.080.100.110.150.220.320.100.170.200.070.060.050.070.040.080.060.110.110.060.300.120.740.360.160.430.861.470.470.650.826.905.200.270.300.060.140.190.390.851.331.972.583.060.390.140.110.230.480.931.590.010.05
------0.01---0.02-0.02-0.02-0.03-0.05-0.09-0.016.12-0.06-0.03----------1.35--2.82--20.91-6.74--10.1024.724.68---0.840.76-7.11-8.00-0.84-0.90-4.71-37.774.962.361.400.940.72-1.65-1.04-0.74-6.9512.852.961.75--
-0.60-0.40-0.53-0.53-0.29-0.29-0.35-0.42-0.44-0.35-0.32-0.04-0.87-0.47-0.33-1.87-0.52-0.51-0.61-0.51-0.56-0.74-0.70-0.64-0.59-0.56-0.61-0.59-0.67-0.75-0.78-0.95-0.89-1.02-0.91-1.04-1.27-1.99-3.46-12.755.133.14-0.89-0.90-0.48-0.48-0.83-0.98-1.25-1.73-3.5115.912.51-1.13-0.91-0.95-1.02-1.20-1.51-2.34-0.76-0.78
73.1672.6269.1471.4974.2966.5778.3872.2371.7772.1868.8358.2663.9750.1485.6956.004.8212.7559.4637.8041.3647.2661.0469.1863.2351.9468.2561.8377.7663.1351.3261.4061.6672.8369.9573.0168.4272.0570.3570.0873.3787.3672.1480.1585.1972.2784.2675.3460.9469.9167.6670.0271.1662.9472.6560.5365.0866.7120.9477.1872.9677.00
27.81-18.1514.84-10.7219.91-52.40-26.60-59.65-78.52-61.22-55.56-89.53-139.09-207.66-518.99-466.25-3,943.37-1,876.51-752.27-1,207.07-637.12-1,045.40-278.74-448.21-466.76-325.69-394.09-400.89-1,179.18-414.95-119.70-326.07-500.56-256.00-264.78-919.59-419.52-535.46-388.48-619.59-678.16-1,392.02-423.32-1,273.42-1,074.92-562.96-1,127.97-765.99-636.06-736.34-1,064.59-1,287.58-1,387.44-816.66-2,058.94-883.34-2,200.44-1,998.90-2,099.80-1,939.19-1,041.70-762.53
27.81-18.1514.84-10.7219.91-52.40-26.60-59.65-78.52-61.22-55.56-89.53-139.09-207.66-518.99-466.25-3,943.37-1,876.51-752.26-1,207.07-637.12-1,045.40-278.74-448.21-466.76-325.69-394.09-400.89-1,179.18-414.95-119.70-326.07-500.56-256.00-264.78-919.59-419.52-535.46-388.48-619.59-678.16-1,392.02-423.32-1,273.42-1,074.92-562.96-1,127.97-765.99-636.06-736.34-1,064.59-1,287.58-1,387.44-816.66-2,058.94-883.34-2,200.44-1,998.90-2,099.80-1,939.19-1,041.70-762.53
--------------------------------------------------------------
91.61-78.26261-478.50-155.34-346.49-103.56-27.3442.35-159.66-221.95-113.99-295.94-232.56-474.38-925.18-4,375.90-2,014.77-818.11-1,390.42-862.66-1,234.70-452.65-138.50-635.89-1,701.17-877.93-526.86-1,275.10-329.97-373.80-445.84-551.67-640.34-296.88-715.05-634.02-550.77-94.47-656.25-711.27-1,767.05-459.12-2,989.33-509.49-2,668.20-1,192.62-811.91-677.24-769.40-1,070.01-1,281.27-2,181.51-867.25-3,568.77-957.25-2,326.40-2,092.74-2,186.88-2,000.99-1,182.05-818.81
91.61-78.26261-478.50-155.34-346.49-103.60-27.3442.35-159.66-221.95-114.15-296.15-233.32-474.38-925.18-4,375.90-2,014.77-818.11-1,390.42-862.66-1,234.70-451.27-138.50-637.29-1,701.17-877.93-526.86-1,275.10-329.97-378.66-445.84-551.67-640.34-296.88-715.05-634.02-550.77-94.47-656.25-711.27-1,767.05-233.05-2,989.33-509.49-2,668.20-1,192.62-811.91-677.24-769.40-1,070.01-1,281.27-2,181.51-867.25-3,442.41-957.25-2,326.40-2,092.74-2,216.92-2,003.40756-695.76
0.340.250.310.240.240.220.280.210.210.190.230.190.150.100.110.040.020.050.100.120.210.130.390.820.350.380.250.290.180.160.640.230.280.210.390.100.090.060.050.040.030.020.180.080.100.090.080.080.060.050.040.020.020.050.060.080.030.030.020.02-83.57
0.700.640.730.821.341.181.370.821.180.891.281.020.430.360.120.240.120.250.250.420.440.290.500.760.770.630.430.350.120.271.360.370.340.280.390.130.280.220.260.260.250.070.330.120.090.210.080.150.260.200.180.110.110.220.110.230.070.080.160.05--
2.271.922.111.531.661.271.361.732.221.851.761.541.541.231.040.980.751.444.453.511.811.271.953.903.142.272.070.940.580.331.411.812.095.854.994.494.953.122.742.403.992.352.072.252.092.151.622.283.591.892.761.811.621.661.995.051.682.012.541.54--
39.6346.7942.6458.7154.2570.7865.9451.9140.5548.7351.0258.4058.4173.4586.2391.9612062.5820.2325.6449.7070.7246.2623.0728.6639.6543.3995.8715627264.0349.7442.9915.3818.0420.0618.1928.8732.8637.5722.5738.2543.4039.9742.9841.8055.6439.5325.0547.5932.5749.6955.4354.3645.2817.8253.5044.8835.4158.36--
-16.579.51-42.2335.9311.9424.3213.893.47-4.8613.6424.2714.4134.1229.6885.0313924.5023.9027.3320.6316.7214.0013.466.1319.7942.0328.119.4317.286.7935.0320.3018.3232.2118.7620.0336.2743.0014.41354-161.67-149.7821.7173.406.9747.4525.9926.2233.1759.11157-613.47-166.7825.2862.1621.1425.5535.6724.8672.882,6613,750
-12.887.66-33.2330.459.9619.8110.672.51-3.5310.1418.169.9422.2616.3142.3841.3624.5023.9027.3320.6316.7214.0013.466.1319.7942.0328.119.4317.286.7935.0320.0317.8730.8917.8318.6432.6835.8610.33134-603.41-295.3118.8763.016.3843.0721.8721.2125.1040.2378.55163-785.5420.9952.9118.3521.5328.6118.2145.522,6613,750
31.22-19.4181.35-116.51-37.83-74.76-28.67-5.668.83-29.98-50.78-22.17-43.64-24.35-50.66-38.45-106.61-96.32-81.32-167.12-180.72-166.62-175.56-114.03-222.76-645.62-217.17-150.59-225.70-51.85-240.93-100.39-156.74-132.58-115.07-68.42-59.55-33.20-4.79-25.25-22.96-29.94-83.77-252.29-50.52-230.29-91.56-63.41-41.84-40.03-39.11-25.07-34.64-43.54-215.80-74.80-71.15-60.49-24.93-34.97--68,429.56
-16.579.51-42.2335.9311.9424.4913.893.47-4.9813.9424.8314.8935.9032.3185.93-711.5325.9124.5527.3320.6316.7214.0313.466.1319.7942.0328.1122.1717.2825.9635.0344514232.21208-475.23-133.3243.0014.41354-26.38-36.1917666012.8490.381481,016-131.45-80.65-62.72-36.28-47.5466.9112736.87203-422.51-48.70-54.382,6613,750
-12.42-15.46-14.02-23.81-40.12-35.86-27.68-22.17-23.65-26.77-29.96-22.69-19.42-12.79-10.79-7.23-18.17-15.63-12.69-20.07-32.11-36.18-36.54-32.16-35.51-36.59-26.27-24.03-21.81-19.39-18.66-15.21-21.78-20.65-34.52-30.11-24.64-15.83-9.46-3.087.6513.53-59.75-60.19-198.58-193.56-114.93-97.79-76.09-55.00-27.225.9837.94-191.01-263.26-368.52-315.98-248.59-174.22-109.56-0.57-0.52
0.120.35-2.12-1.35-0.77-0.24-11.57-8.70-2.21-2.21-4.58-4.65-3.75-2.39-12.46-9.42-5.58-3.31-11.66-8.21-7.18-3.03-8.97-5.54-3.98-4.90-4.08-2.52-1.53-0.31-11.01-8.68-6.25-4.98-20.41-17.67-11.26-6.36-51.30-40.48-31.31-19.81-51.66-39.22-33.77-18.17-75.97-62.82-44.36-26.40-166.68-123.90-90.22-46.40-168.13-122.36-89.04-50.93-203.68-150.15-100.99-51.69
0.060.31-2.11-1.41-0.88-0.25-11.35-8.02-1.81-1.95-4.96-4.96-3.95-2.46-12.51-9.46-6.96-3.32-11.76-8.26-7.23-3.08-9.08-5.62-4.02-4.92-4.08-2.52-1.53-0.31-11.04-8.71-6.24-4.98-19.82-17.08-11.26-6.36-51.37-40.55-31.33-19.83-51.57-39.13-33.64-18.04-76.00-62.86-44.38-26.42-167.48-124.55-90.61-46.40-167.93-122.15-88.97-50.93-203.69-150.55-101.70-51.69