Tandem Diabetes Care Financial Ratios for Analysis 2011-2024 | TNDM

Fifteen years of historical annual and quarterly financial ratios and margins for Tandem Diabetes Care (TNDM).

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
3.835.146.156.142.782.831.782.934.035.0210.211.630.59
0.480.390.390.36--1.621.080.320.350.20--
0.910.640.650.55---2.63-13.320.460.540.250.23-3.82
49.1851.5453.5352.2353.6048.8540.9828.0036.4930.6721.26-54.46-
-31.19-11.593.22-1.60-4.62-24.27-58.50-92.64-94.72-152.17-170.42-1,335.27-
-31.19-11.593.22-1.60-4.62-24.27-58.50-92.64-94.72-152.17-170.42-1,335.27-
-28.32-9.045.492.26-3.10-19.88-52.13-86.23-88.09-143.45-159.50-1,253.17-
-29.46-11.592.26-7.27-6.79-66.66-67.87-99.07-99.39-159.79-217.67-1,333.94-
-29.77-11.812.21-6.89-6.83-66.69-67.87-99.05-99.41-159.94-217.67-1,333.94-
0.780.760.780.701.110.891.130.750.580.470.180.06-
2.413.494.763.743.434.732.352.862.642.892.210.61-
7.086.986.356.077.785.225.177.545.186.505.471.03-
51.5352.2657.5160.1446.9369.8670.5348.4070.4256.1766.68356-
-70.98-21.503.59-9.39-12.70-93.402511,408-114.10-145.72-54.6531.1335.78
-70.98-21.503.59-9.39-12.70-93.402391,082-118.03-152.55-55.95-212.02758
-23.37-8.991.72-4.80-7.59-59.44-76.60-74.25-58.06-74.70-38.92-82.92-182.50
-37.18-13.082.18-6.04-12.70-93.40-154.10-114.26-78.08-94.66-43.56-177.63758
4.786.826.795.883.282.28-2.88-1.9120.9823.0750.40819-94.81
-0.490.791.730.400.72-0.17-11.65-20.01-20.32-26.37-162.33-1,780.37-1,265.91
-0.900.261.51-0.040.38-0.23-12.66-22.93-22.31-28.27-175.96-2,021.28-1,343.52

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302011-12-31
2.903.053.813.834.054.384.435.144.816.006.216.156.316.426.406.145.614.722.822.782.462.532.432.832.783.022.621.781.902.112.742.932.043.364.134.034.976.717.415.026.458.669.7710.211.692.67-----
0.560.570.590.480.480.460.460.390.400.390.390.390.420.450.470.360.380.42-------0.750.871.621.591.321.031.080.900.580.490.320.290.250.220.350.300.260.230.201.110.76-----
1.471.491.430.910.910.860.840.640.670.630.640.650.720.810.890.550.610.73-------2.966.45-2.63-2.70-4.09-39.49-13.328.601.380.960.460.410.340.290.540.440.350.300.25-10.443.20-----
51.0950.8349.3947.4148.3551.9348.9552.3951.0550.9151.7854.1653.8653.7151.9653.8852.8449.7951.3355.6053.5453.5150.5454.5147.1144.2141.8143.3543.9737.5235.5934.81-12.8335.5734.5446.2235.0830.5722.8136.5432.5433.6310.7411.5932.577.3437.38----
-10.70-13.87-21.74-17.82-16.99-19.81-75.46-8.06-23.22-6.11-8.726.074.303.16-2.3011.10-0.82-11.02-13.861.98-6.34-2.00-16.660.73-33.96-41.02-56.77-23.78-48.76-88.94-111.85-46.16-231.14-74.19-95.91-38.53-119.01-118.88-165.83-97.84-140.64-178.63-258.38-160.70-155.96-247.43-131.29----
-10.70-13.87-21.74-17.82-16.99-19.81-75.46-8.06-23.22-6.11-8.726.074.303.16-2.3011.10-0.82-11.02-13.861.98-6.34-2.00-16.660.73-33.96-41.02-56.77-23.78-48.76-88.94-111.85-46.16-231.14-74.19-95.91-38.53-119.01-118.88-165.83-97.84-140.64-178.63-258.38-160.70-155.96-247.43-131.29----
---------------------------------------------------
-9.27-13.40-20.62-15.91-16.55-17.68-72.96-7.31-23.15-6.47-9.355.313.262.36-3.6610.14-7.58-26.71-15.082.52-2.99-1.62-34.844.90-74.02-173.94-119.86-28.29-59.38-102.22-125.37-51.32-242.53-79.73-102.12-41.49-124.62-124.37-172.31-102.83-147.25-187.20-272.31-230.49-167.97-276.80-204.52----
-9.53-13.89-22.29-15.25-17.76-18.26-73.13-7.19-23.94-7.52-8.375.153.232.33-3.5810.12-7.61-24.82-15.182.45-3.06-1.62-34.844.84-74.02-173.94-119.86-28.31-59.38-102.22-125.37-51.27-242.53-79.73-102.12-41.52-124.62-124.37-172.31-103.23-147.25-187.20-272.31-230.50-167.96-276.80-204.52----
0.250.240.200.210.200.210.180.210.200.190.170.230.210.220.190.230.180.180.290.330.320.370.310.370.250.220.190.420.310.220.170.260.140.210.170.230.120.110.080.170.120.080.060.060.160.09-----
0.780.680.630.660.670.640.660.940.961.121.061.401.261.191.011.220.830.880.790.981.081.591.431.741.000.760.600.850.500.520.510.890.610.680.650.890.580.740.700.950.770.610.710.880.490.52-----
2.282.262.061.861.851.981.851.921.811.931.871.902.052.151.912.042.372.431.812.332.091.932.002.172.132.452.091.942.552.362.472.591.502.442.212.072.242.102.362.342.312.352.361.931.872.02-----
39.5439.7943.6548.2748.6445.3548.5646.8249.6346.6348.1647.4543.8241.9447.0144.0237.9437.1049.5938.6843.1046.7545.0441.5742.1936.7043.0446.4435.2738.1036.4634.7860.0236.9140.8043.4440.1242.8238.2138.5038.9138.2838.2046.5548.2344.50-----
-9.78-13.18-17.57-9.57-10.50-10.87-36.57-3.60-11.61-3.35-3.362.501.491.16-1.614.64-2.88-10.13-7.181.36-1.74-1.04-19.012.81-29.67-228.26-275.9439.1357.351191,274250-573.68-57.14-44.58-19.05-27.49-22.26-20.74-33.84-29.49-22.98-22.58-20.449.1111.64-----
-9.78-13.18-17.57-9.57-10.50-10.87-36.57-3.60-11.61-3.35-3.362.501.491.16-1.614.64-2.88-10.13-7.181.36-1.75-1.05-19.172.81-29.98-240.21-312.1637.2754.36110666192-894.78-60.83-46.64-19.71-28.37-22.85-21.23-35.42-30.60-23.70-23.21-20.93234-243.04-----
-2.43-3.29-4.54-3.15-3.51-3.78-12.98-1.51-4.67-1.45-1.451.190.680.50-0.672.37-1.40-4.40-4.330.81-0.99-0.59-10.711.79-18.86-37.57-22.59-11.96-18.23-22.12-21.11-13.19-33.00-16.78-16.98-9.69-15.24-13.82-13.67-17.34-17.07-14.77-15.42-14.56-26.89-25.83-----
-4.26-5.69-7.23-5.01-5.51-5.83-19.90-2.19-6.95-2.06-2.051.510.860.64-0.852.99-1.79-5.85-7.181.36-1.74-1.04-19.012.81-29.67-57.57-37.04-24.07-33.66-38.65-33.09-20.30-59.77-23.96-22.75-13.04-19.44-16.66-16.10-21.98-20.54-17.00-17.33-16.29-49.22-39.80-----
3.623.573.764.784.825.065.246.826.567.006.846.796.145.505.015.885.264.403.453.282.832.482.092.282.010.490.25-2.88-5.10-3.64-0.37-1.911.7010.4815.1420.9823.6929.2434.3323.0728.7335.6242.3350.40-122.37240-----
0.21-0.20-0.12-0.49-0.38-0.38-0.280.790.700.320.221.731.420.880.460.400.15-0.08-0.350.720.38-0.01-0.07-0.17-0.40-0.37-0.68-11.65-10.50-7.09-6.53-20.01-15.54-9.66-5.26-20.32-16.15-11.43-6.04-26.37-20.38-14.83-7.39-162.33-1,632.28-1,136.29-423.580.000.000.000.00
-0.04-0.37-0.19-0.90-0.71-0.63-0.420.260.250.090.171.511.290.800.40-0.04-0.23-0.36-0.460.380.16-0.15-0.10-0.23-0.44-0.39-0.71-12.66-11.33-7.90-7.36-22.93-17.56-10.98-5.91-22.31-17.51-12.22-6.28-28.27-21.94-16.00-8.10-175.96-1,750.51-1,203.40-466.91----