Supernus Pharmaceuticals Financial Ratios for Analysis 2010-2024 | SUPN

Fifteen years of historical annual and quarterly financial ratios and margins for Supernus Pharmaceuticals (SUPN).

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
20232022202120202019201820172016201520142013201220112010
1.701.071.912.572.943.061.861.881.863.873.683.982.63-
--0.320.330.370.42-0.020.070.390.510.160.71-
-0.450.460.490.580.73-0.020.080.641.030.403.12-
86.2186.9387.0589.9295.7696.2494.9794.4394.2993.7990.81100.00100.00100.00
-0.876.9114.8433.3837.8335.3332.9325.2214.13-5.70-515.18-2,849.26-4,701.37-37,851.89
-0.876.9114.8433.3837.8335.3332.9325.2214.13-5.70-515.18-2,849.26-4,701.37-37,851.89
13.1720.5323.5539.5042.5039.5435.4626.5715.27-2.44-483.78-2,768.11-4,564.76-36,731.13
0.469.1012.6232.4137.5534.2833.2923.439.91-11.11-767.73-3,127.30-4,915.32-37,239.62
0.229.109.2124.3928.7927.1418.9542.439.46-11.79-767.73-3,204.536,275-39,521.70
0.480.390.340.350.340.420.710.690.780.680.110.020.01-
1.080.950.871.090.630.600.930.710.670.430.15---
4.214.033.893.694.503.974.615.185.695.372.382.19--
86.6190.5393.7698.8181.1691.8779.2170.5064.1368.02153166--
0.146.856.5517.0418.9924.5021.4247.5715.84-26.84-275.74-80.40-247.23-
0.6490.99-61.8641.9519.8126.3224.7558.7016.02-26.99-285.62-81.36-272.24-
0.103.573.168.449.7411.3513.5029.477.39-7.99-83.13-49.24-43.23-
0.146.854.4711.4712.0214.1821.4246.5614.66-16.33-135.98-67.41-72.23-
16.8416.3315.3214.0911.338.665.213.841.800.950.841.885.68-
2.001.892.342.582.662.382.151.290.67-0.58-1.82-2.71-22.55-20.49
1.991.892.302.512.632.372.111.260.63-0.59-1.87-2.75-22.97-20.68

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-31
1.911.731.701.561.681.211.070.910.852.001.912.852.262.432.571.842.073.312.942.852.722.773.062.822.744.901.861.821.941.831.881.931.691.691.862.352.893.693.874.653.752.953.684.106.902.833.982.563.561.932.63----
---------0.330.320.320.320.330.330.350.360.360.370.380.390.410.420.440.450.47--0.010.020.020.030.050.050.070.090.110.150.390.420.460.490.510.830.620.160.160.360.310.990.71----
-----0.530.450.470.480.480.460.460.470.490.490.540.560.570.580.610.640.690.730.770.820.90--0.010.020.020.030.050.060.080.100.120.180.640.710.860.981.034.831.650.490.401.040.731063.12----
89.3688.6588.0687.2684.4484.7486.2885.4187.9788.2489.3287.8282.2988.5887.0986.2193.3895.6395.9195.2896.1495.6996.3995.9296.3096.3895.3094.7194.9194.8893.9593.9794.6795.4093.6094.2995.0694.3792.6994.1894.4094.5689.6797.3798.58100.00100.00100.00100.00100.0095.24100.00100.00--
13.41-2.20-0.615.29-12.973.3720.52-0.866.671.293.8321.9624.1410.0929.9536.1935.9430.5540.6338.9040.6929.7534.3836.3835.8934.7238.8427.7934.3829.1626.1334.9222.5614.5718.0412.9210.7714.0416.40-3.2412.66-147.80-109.91-1,366.35-5,508.54-12,182.31-1,169.17-13,505.50-10,172.53-3,787.50-24,400.00-90,136.37-1,119.47--
13.41-2.20-0.615.29-12.973.3720.52-0.866.671.293.8321.9624.1410.0929.9536.1935.9430.5540.6338.9040.6929.7534.3836.3835.8934.7238.8427.7934.3829.1626.1334.9222.5614.5718.0412.9210.7714.0416.40-3.2412.66-147.80-109.91-1,366.35-5,508.54-12,182.31-1,169.17-13,505.50-10,172.53-3,787.50-24,400.00-90,136.37-1,119.47--
-------------------------------------------------------
15.630.170.606.43-12.635.8621.00-0.256.669.651.2919.5122.108.3527.6533.9837.2530.5740.7338.7640.8328.3633.4435.3134.0134.4839.6428.5034.8528.1824.9333.6820.6411.3716.1710.317.462.8714.14-10.4510.79-171.16-216.82-1,916.95-9,735.59-12,526.53-1,239.63-14,815.39-11,003.30-4,460.10-25,404.76-92,281.83-1,192.00--
11.830.090.72-10.38-0.6111.0215.230.994.6316.801.5414.5216.794.3521.4325.7827.3622.6632.9828.2631.2621.4622.3327.2030.8829.1415.4419.8522.9017.8822.9610919.8610.9215.699.956.832.5712.12-10.4510.79-171.16-216.82-1,916.95-9,735.59-12,526.53-1,239.54-14,815.39-11,317.58-4,872.60195,179-96,290.91-1,098.00--
0.130.110.130.120.100.090.100.100.100.090.090.100.090.090.100.100.090.080.090.090.100.080.120.110.120.110.210.210.220.180.200.200.240.230.230.240.230.210.230.180.320.090.090.010.000.000.010.000.000.000.00----
0.260.220.250.230.230.260.250.310.240.200.200.300.430.300.380.500.240.170.150.190.160.140.160.180.180.170.250.280.230.150.220.200.170.160.220.150.130.120.170.120.160.060.150.010.00----------
1.100.971.141.090.991.071.011.081.081.051.071.111.031.031.021.171.000.801.151.181.241.071.131.321.331.331.351.431.481.481.501.571.511.441.691.671.991.491.811.482.610.882.040.150.210.061.610.18-------
81.5492.5678.9682.9190.6684.0389.0283.2783.6685.6684.2781.0487.4287.3488.3277.2289.8811378.2576.3972.6984.1879.9067.9467.6767.5466.7562.8760.7260.7859.9257.3859.7662.4253.3753.9745.1560.3549.7660.7134.4210344.025864251,42255.73495-------
2.080.010.13-1.75-0.091.862.880.210.933.090.302.663.020.754.135.645.213.515.565.186.263.825.726.647.877.495.116.347.575.007.4735.669.304.977.794.983.391.169.30-6.599.60-53.57-66.96-193.50-76.22-44.62-23.47-54.74-26.36-4,123.1359.41----
7.090.050.57-10.37-0.5915.0538.1913.82-45.24-50.21-2.835.596.681.7910.1718.3920.443.655.815.436.624.086.147.198.628.315.907.448.675.839.2139.1710.855.967.876.323.401.169.36-7.4410.57-57.88-69.36-207.08-77.45-45.30-23.75-56.43-26.931,59765.42----
1.510.010.09-1.24-0.060.951.500.100.461.560.141.391.510.382.052.652.331.812.862.613.081.792.653.043.603.193.224.145.013.204.6321.684.692.483.632.351.580.532.77-1.893.40-15.94-20.19-19.47-20.73-23.29-14.38-20.12-12.52-21.4710.39----
2.080.010.13-1.75-0.091.862.880.210.932.080.201.822.050.512.783.683.342.243.523.213.812.253.313.754.313.935.116.347.524.927.3134.518.844.707.214.533.030.985.66-3.845.16-27.09-33.02-33.18-28.80-37.39-19.68-34.80-18.19-45.9317.36----
17.3916.9816.8416.8116.8516.8116.3316.0115.8015.5615.3215.3314.7814.2414.0913.4612.6611.6811.3310.629.979.178.668.077.486.815.214.914.524.103.843.502.231.961.801.611.481.340.950.840.790.690.840.401.161.341.881.011.550.165.68----
1.330.692.001.210.560.791.891.621.230.072.341.441.510.672.581.981.880.172.661.851.140.612.381.770.620.502.151.460.740.251.290.810.26-0.060.670.280.24-0.01-0.58-0.72-0.61-0.46-1.82-1.57-1.07-0.56-2.71-1.27-1.17-6.01-17.72-17.50-11.81-6.150.00
1.320.691.991.200.550.781.891.611.220.062.301.411.470.632.511.921.820.122.631.831.140.612.371.760.610.502.111.440.720.251.260.780.25-0.070.630.260.23-0.01-0.59-0.73-0.62-0.47-1.87-1.61-1.10-0.57-2.75-1.29-1.18-6.03-18.05-17.81-12.07-6.28-