Surmodics Financial Ratios for Analysis 2009-2024 | SRDX

Fifteen years of historical annual and quarterly financial ratios and margins for Surmodics (SRDX).

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
3.621.802.364.584.032.326.215.7814.4213.595.995.794.944.904.64
0.20--------------
0.250.090.07------------
81.1779.6583.6683.8586.3782.7984.3884.7286.0886.0485.9385.7187.2187.5193.82
3.88-22.116.38-1.326.46-10.829.7223.6230.8432.3433.5331.4729.4222.0147.31
3.88-22.116.38-1.326.46-10.829.7223.6230.8432.3433.5331.4729.4222.0147.31
10.59-12.9214.046.3414.03-2.9117.9030.4535.3737.0738.6737.1735.5928.8952.29
1.88-22.506.04-1.537.55-9.269.6223.7529.4732.1636.2731.4031.339.8848.98
-1.16-27.294.031.187.59-5.485.3713.9919.3020.9527.0219.70-35.08-38.7030.90
0.710.630.540.560.630.500.540.540.630.550.550.500.340.320.66
1.681.722.542.573.033.493.253.052.892.852.372.112.122.232.25
11.697.759.499.4210.488.119.369.438.2812.0910.5310.2412.036.0610.74
31.2247.0738.4738.7334.8345.0138.9938.7044.1030.1934.6735.6330.3460.2034.00
-1.28-25.163.020.866.20-4.103.529.3513.0012.3615.5410.667.830.2621.78
-3.03-68.987.381.249.25-6.986.1617.2914.7313.9017.7512.278.640.3128.06
-0.83-17.222.180.674.75-2.722.877.5112.1011.6414.309.716.970.2420.24
-1.03-25.163.020.866.20-4.103.529.3513.0012.3615.5410.667.830.2621.78
8.477.7310.089.599.078.118.528.097.107.266.756.487.968.869.87
0.75-1.241.101.010.582.591.051.901.131.341.211.011.311.291.79
0.54-1.480.720.750.091.520.571.291.001.171.080.971.221.130.11

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
3.984.394.843.622.683.203.731.802.042.282.532.365.335.936.504.585.625.825.184.034.043.523.462.322.502.383.076.217.648.669.555.786.706.229.4914.4215.3516.8211.0313.5912.3413.767.385.9910.0913.205.755.7916.6014.7912.564.946.734.064.454.905.175.475.924.644.372.20
0.200.190.190.200.210.220.22-------------------------------------------------------
0.250.240.240.250.260.290.280.090.080.080.070.07--------------------------------------------------
72.1677.7871.1974.8386.8178.9078.8878.4679.3280.4480.4582.6578.6288.0883.2182.6983.4783.4985.8488.1386.1886.3684.1682.2581.5484.7283.0183.4683.6285.3685.2084.3686.1082.4885.7085.1086.3486.4486.6185.1486.0687.5385.5785.9886.0785.8085.8685.8383.8786.7786.6685.3589.9886.1387.5283.2587.1786.5288.7488.7289.0791.22
-17.702.06-1.05-8.7840.80-24.20-28.97-25.47-28.74-18.77-14.93-2.04-9.9927.100.42-8.844.33-0.68-1.1812.574.183.813.20-10.60-28.122.75-3.722.079.809.5818.4022.4933.0313.4123.8124.5736.8027.2835.4435.4336.4925.5831.1839.0029.6630.1535.2133.5034.3430.2127.0421.1032.7531.5932.91-116.3411.93-5.1915.9320.6925.6329.63
-17.702.06-1.05-8.7840.80-24.20-28.97-25.47-28.74-18.77-14.93-2.04-9.9927.100.42-8.844.33-0.68-1.1812.574.183.813.20-10.60-28.122.75-3.722.079.809.5818.4022.4933.0313.4123.8124.5736.8027.2835.4435.4336.4925.5831.1839.0029.6630.1535.2133.5034.3430.2127.0421.1032.7531.5932.91-116.3411.93-5.1915.9320.6925.6329.63
--------------------------------------------------------------
-19.150.52-2.37-9.9739.34-27.08-32.12-26.14-28.89-19.16-15.29-2.34-10.5227.22-0.48-9.224.50-2.13-0.4513.364.954.855.10-8.81-23.821.65-3.060.967.048.9222.6722.5834.3513.0723.0015.9736.7831.4335.7928.0536.9726.9836.7139.1530.0931.6844.2234.7935.3326.1328.2622.0335.2034.4034.38-149.450.98-3.6417.6321.8730.0031.62
-24.900.77-2.5723.9314.00-28.43-31.46-56.67-22.74-15.64-12.22-1.21-13.7723.11-1.23-13.079.156.410.6511.536.025.575.89-7.61-12.078.05-9.151.994.052.8912.9514.2019.704.9216.047.8224.6621.1725.4415.2824.6218.0826.1525.7821.9129.9530.6719.7921.9414.1122.71-134.2729.5618.66-49.28-139.32-4.92-2.3311.0314.1119.4620.15
0.170.170.170.150.280.160.150.160.140.140.120.120.130.200.140.130.160.150.150.190.160.150.150.140.140.120.130.150.130.130.140.140.160.140.150.180.170.160.160.150.150.140.150.140.140.130.130.130.090.080.080.090.070.080.070.090.100.100.090.100.100.11
0.550.460.610.470.470.420.410.470.470.540.540.620.810.660.600.650.760.660.650.810.810.710.851.021.030.720.750.940.830.770.760.790.830.880.720.870.630.610.670.810.700.610.710.600.620.580.610.560.690.440.540.640.350.600.500.850.680.750.570.650.640.59
2.272.452.302.474.472.242.452.022.111.962.322.162.453.252.102.241.991.742.743.232.722.172.022.302.362.232.452.572.232.442.592.403.412.413.002.322.402.343.203.232.822.432.722.683.022.793.142.732.702.642.503.171.421.341.431.731.731.431.491.701.531.63
39.7236.7939.1236.4920.1540.1136.7844.6442.7046.0038.8441.6036.7127.6542.8240.1945.2851.8332.8027.8933.0641.4744.5339.1838.2140.4336.6935.0440.4136.8234.7737.5126.4037.3630.0538.7637.5738.4028.1427.8831.8737.1133.1333.5729.8332.2728.6932.9633.3834.1136.0028.3963.4667.3762.9952.0252.0062.7760.3853.0458.9655.35
-6.390.20-0.645.586.53-7.54-7.31-13.59-4.52-3.06-2.06-0.21-2.335.69-0.21-2.251.881.170.122.901.241.091.15-1.61-2.471.35-1.410.360.660.462.152.413.830.832.781.484.373.584.432.473.882.714.083.983.243.354.303.002.121.331.511.571.931.851.85-14.03-0.52-0.241.091.572.112.60
-14.790.44-1.5213.1918.02-25.77-22.61-37.25-10.92-7.36-4.97-0.50-3.227.86-0.30-3.252.691.710.184.331.921.731.87-2.74-4.242.33-2.470.631.170.813.814.467.371.724.661.674.954.095.102.784.403.104.694.553.693.804.913.462.321.461.661.732.252.162.17-16.53-0.67-0.311.412.022.763.45
-4.260.14-0.443.603.89-4.65-4.62-9.30-3.22-2.22-1.52-0.15-1.864.57-0.17-1.751.480.940.102.220.980.840.87-1.07-1.680.94-1.160.290.550.391.791.943.100.672.361.384.093.364.152.333.652.573.823.663.063.183.942.742.011.261.421.401.761.651.66-12.72-0.48-0.221.011.461.952.32
-5.120.16-0.524.485.18-5.86-5.74-13.59-4.52-3.06-2.06-0.21-2.335.69-0.21-2.251.881.170.122.901.241.091.15-1.61-2.471.35-1.410.360.660.462.152.413.830.832.781.484.373.584.432.473.882.714.083.983.243.354.303.002.121.331.511.571.931.851.85-14.03-0.52-0.241.091.572.112.60
8.288.698.588.477.957.267.607.738.949.539.7810.0810.1510.259.719.599.579.189.079.078.798.558.438.118.158.568.388.528.348.248.088.097.887.607.337.106.896.556.317.266.966.676.536.756.877.006.736.488.538.328.167.969.018.748.858.8610.0310.0210.039.879.599.28
-0.24-0.10-0.620.750.66-1.19-0.77-1.24-1.06-0.81-0.511.101.050.84-0.311.010.920.09-0.070.58-0.33-0.29-0.392.592.212.040.051.050.570.320.151.901.400.730.481.130.910.520.411.340.900.430.301.210.810.460.361.010.680.350.111.310.980.810.391.290.960.710.471.791.430.97
-0.45-0.24-0.670.540.50-1.31-0.84-1.48-1.26-0.95-0.560.720.840.70-0.410.750.73-0.08-0.190.09-0.63-0.51-0.541.521.351.74-0.050.570.210.100.031.291.030.650.451.000.880.510.411.170.820.370.301.080.710.370.310.970.650.330.101.220.900.740.341.130.550.390.270.110.180.32