Traws Pharma Financial Ratios for Analysis 2011-2024 | TRAW

Fifteen years of historical annual and quarterly financial ratios and margins for Traws Pharma (TRAW).

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
2.464.899.061.972.832.110.492.273.054.5710.103.28-
-------------
-------------
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00
-8,981.42-8,684.51-7,299.12-10,819.48-994.00-1,895.93-3,270.27-427.39-209.25-7,968.00-1,309.11-48.23-1,854.27
-8,981.42-8,684.51-7,299.12-10,819.48-994.00-1,895.93-3,270.27-427.39-209.25-7,968.00-1,309.11-48.23-1,854.27
-8,974.34-8,678.32-7,292.92-10,813.85-993.36-1,891.45-3,259.09-425.66-207.94-7,913.75-1,299.73-29.81-1,831.61
-8,384.07-8,391.15-7,151.77-10,888.74-984.56-1,672.15-3,059.59-354.36-209.56-7,972.00-1,306.99-64.76-1,768.26
-8,384.07-8,391.15-7,151.77-10,890.48-985.02-1,675.33-3,061.25-354.62-209.31-7,960.25-1,364.68-73.32-2,038.60
0.010.010.000.010.090.070.160.240.490.020.050.55-
-------------
12.567.798.076.2422.2835.0913.341797.626.06---
29.0746.8445.2258.4616.3910.4027.362.0447.9260.23---
-177.55-66.99-35.05-407.40-185.79-378.87222-383.60-221.61-270.07-77.3318.90-
-177.55-66.99-35.05-407.40-185.79-378.88222-383.60-221.61-270.07-77.33-69.55-
-83.53-48.17-29.13-125.87-90.83-113.88-483.87-84.65-102.47-134.77-59.49-35.67-
-177.55-66.99-35.05-407.40-185.79-378.88222-383.60-221.61-270.07-77.33-69.55-
12.7033.8255.1812.4539.02356-15.140.764.261.093.7716.52-
-21.36-19.48-28.94-49.72-542.81-2,062.74-39.74-3.58-13.75-2.67-5.800.74-6.64
-21.38-19.48-28.94-49.75-544.24-2,062.74-39.74-3.58-13.75-2.68-5.860.61-6.76

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
1.071.881.932.462.793.513.804.895.967.448.649.068.535.896.641.972.693.204.612.830.710.961.332.112.823.020.810.490.971.621.662.273.101.762.543.052.972.763.384.574.736.187.7010.108.224.29-----
---------------------------------------------------
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100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00-100.00100.00-
-14,975.44-216,400.00-9,307.14-7,967.86-8,928.07-8,087.72-10,958.93-10,239.29-9,896.49-7,228.07-7,378.57-6,719.64-7,000.00-8,149.12-7,317.86-10,973.68-9,506.06-13,105.36-9,855.77-19,089.97-8,092.06-179.67-10,648.53-10,418.64-4,661.67-1,162.68-1,046.45-4,277.62-6,144.55-1,873.15-3,234.29-3,739.31-261.36-240.17-510.1833.46-362.33-7,282.11-10,832.46-11,718.42-13,059.65-13,411.20-4,190.83-754.35-1,801.43-2,127.41-1,342.83-16.16-3,719.55-
-14,975.44-216,400.00-9,307.14-7,967.86-8,928.07-8,087.72-10,958.93-10,239.29-9,896.49-7,228.07-7,378.57-6,719.64-7,000.00-8,149.12-7,317.86-10,973.68-9,506.06-13,105.36-9,855.77-19,089.97-8,092.06-179.67-10,648.53-10,418.64-4,661.67-1,162.68-1,046.45-4,277.62-6,144.55-1,873.15-3,234.29-3,739.31-261.36-240.17-510.1833.46-362.33-7,282.11-10,832.46-11,718.42-13,059.65-13,411.20-4,190.83-754.35-1,801.43-2,127.41-1,342.83-16.16-3,719.55-
---------------------------------------------------
-14,868.42-216,040.40-8,898.21-7,471.43-8,314.04-7,456.14-10,312.50-9,678.57-9,470.18-7,059.65-7,360.72-6,721.43-6,057.90-7,422.81-8,419.64-11,271.93-9,456.06-13,205.36-9,792.31-19,123.31-7,293.65-176.11-11,176.47-9,788.13-4,456.67-890.93-902.48-4,330.77-6,328.18-797.53-3,971.91-3,140.46-96.85-239.37-491.1833.43-362.08-7,296.75-10,848.25-11,730.71-13,076.32-13,424.00-4,187.03-757.77-1,800.09-2,125.55-1,330.20--3.35-3,370.91-
-14,868.42-216,040.40-8,898.21-7,471.43-8,314.04-7,456.14-10,312.50-9,678.57-9,470.18-7,059.65-7,360.72-6,721.43-6,057.90-7,422.81-8,419.64-11,278.95-9,456.06-13,205.36-9,792.31-19,156.64-7,293.65-176.11-11,176.47-9,577.96-4,456.67-924.54-902.48-4,339.86-6,328.18-797.53-3,971.91-3,148.55-96.85-239.37-491.1833.26-362.08-7,280.49-10,827.19-11,729.83-13,050.88-13,402.40-4,178.75-757.25-1,862.90-2,300.17-1,421.51--5.19-3,792.27-
0.010.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.010.240.010.000.010.020.070.030.010.020.010.010.060.140.080.410.060.000.000.000.000.000.010.020.010.01-----
---------------------------------------------------
0.033.173.113.113.173.353.291.932.042.042.072.001.972.111.471.541.431.371.160.312.741.181.941.695.006.741.182.421.931.391.675.581.831.051.086.381.06--0.86-----------
3,34928.4228.9328.9328.4226.8427.3246.6144.2144.2143.3945.0045.7942.6361.0758.4262.7365.8977.8829432.8676.2946.3253.3918.0013.3676.1237.1346.6464.7254.0016.1349.2885.9683.5314.1085.17--104-----------
417117-82.84-39.21-32.64-22.49-25.24-19.15-16.18-10.46-9.75-8.16-6.95-12.82-12.69-104.11-51.09-47.30-23.85-49.6576.0678.33495-104.90-49.24-27.1574.0457.14115-584.60308-106.24-15.97-262.87-106.1729.45-139.90-196.17-98.09-56.69-41.80-34.29-29.08-18.08-21.877.26-----
417117-82.84-39.21-32.64-22.49-25.24-19.15-16.18-10.46-9.75-8.16-6.95-12.82-12.69-104.11-51.09-47.30-23.85-49.6576.0678.33495-104.90-49.24-27.1574.0457.14115-584.61308-106.24-15.97-262.87-106.1729.45-139.90-196.17-98.09-56.69-41.80-34.29-29.08-18.08-21.87-41.29-----
-94.84-659.01-27.42-18.45-17.53-13.95-16.47-13.77-12.33-8.37-8.02-6.78-5.76-9.53-9.65-32.17-24.76-26.22-15.88-24.28-76.52-41.50-67.01-31.53-23.12-14.31-59.08-124.64-79.08-16.05-50.39-23.45-5.69-33.21-36.8613.61-22.62-32.36-33.69-28.29-23.94-22.50-20.86-13.91-16.72-21.69-----
417117-82.84-39.21-32.64-22.49-25.24-19.15-16.18-10.46-9.75-8.16-6.95-12.82-12.69-104.11-51.09-47.30-23.85-49.6576.0678.33495-104.90-49.24-27.1574.0457.14115-584.62308-106.24-15.97-262.87-106.1729.45-139.90-196.17-98.09-56.69-41.80-34.29-29.08-18.08-21.87-41.29-----
-0.67-104.247.1312.7017.2822.5227.2733.8239.8746.0450.5955.1859.4352.2758.8312.4524.8133.6447.7939.02-276.23-284.08-97.663567171,051-1,988.74-15.14-0.620.04-0.400.761.480.750.254.260.180.210.581.091.652.262.983.774.3911.67-----
-26.78-14.10-5.26-21.36-16.07-10.76-5.42-19.48-14.83-10.18-5.14-28.94-23.82-17.35-11.37-49.72-36.50-26.19-15.11-542.81-944.11-725.30-420.06-2,062.74-1,141.94-933.16-2,046.43-39.74-29.17-1.31-0.90-3.58-2.11-3.14-1.68-13.75-11.61-8.45-0.45-2.67-2.00-1.40-0.75-5.80-2.86-11.47-5.360.0013.52-5.640.00
-26.78-14.10-5.26-21.38-16.09-10.76-5.42-19.48-14.83-10.18-5.14-28.94-23.82-17.35-11.37-49.75-36.53-26.23-15.11-544.24-947.53-725.30-420.06-2,062.74-1,141.94-933.16-2,046.43-39.74-29.17-1.31-0.90-3.58-2.11-3.14-1.68-13.75-11.61-8.45-0.45-2.68-2.01-1.41-0.75-5.86-2.89-11.65-5.47-13.46-5.64-