Trevena Financial Ratios for Analysis 2011-2024 | TRVN

Fifteen years of historical annual and quarterly financial ratios and margins for Trevena (TRVN).

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
4.664.707.707.194.123.553.715.1012.8615.4615.321.787.65
1.330.46---0.100.310.140.110.02--0.05-0.01
-4.020.86--0.170.420.810.230.130.02--0.08-0.01
46.56822-68.2594.07100.00100.00-100.00100.00-100.00100.00100.00
-1,129.2213,487-9,157.85-960.74-85,741.94-532.07--2,727.55-809.94--17,295.37-1,932.90-650.46
-1,129.2213,487-9,157.85-960.74-85,741.94-532.07--2,727.55-809.94--17,295.37-1,932.90-650.46
-1,118.5313,395-9,082.36-945.19-85,490.33-523.99--2,685.41-787.25--16,771.75-1,835.39-617.36
-1,289.2512,840-9,098.41-947.18-80,229.03-524.06--2,746.51-808.45--17,225.84-1,936.08-652.93
-1,289.2512,840-9,098.41-956.96-80,229.03-537.06--2,746.51-808.45--17,473.07-1,975.29-655.97
0.08-0.010.010.020.000.09-0.030.04-0.000.100.12
-3.330.41----------
---43.23-------68.01105
---8.44-------5.373.47
526-344.06-79.82-28.22-82.69-74.13-207.50-131.07-35.30-50.1028.5026.5036.58
526-344.06-79.82-28.22-82.69-74.13-207.57-131.09-35.31-50.1028.5026.5036.58
-99.22-110.25-64.39-22.99-52.92-46.10-98.82-89.83-28.81-45.92-54.85-193.33-81.46
-174.02-184.88-79.82-28.22-82.69-66.44-142.62-112.11-31.32-49.2528.5027.8136.79
-11.0750.352444072003153478811,7611,580-85.23-86.59-66.16
-64.85-181.97-192.21-104.77-161.35-215.60-749.27-1,092.03-571.92-1,008.33-30.56-22.02-22.84
-64.93-182.07-192.27-104.90-161.35-217.04-786.02-1,099.25-577.08-1,019.48-30.74-22.05-23.01

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-31
2.423.463.604.666.414.033.844.704.605.876.087.7011.116.898.117.1928.0816.2511.374.123.313.773.583.554.303.404.113.714.927.159.135.108.0216.8617.4012.8615.898.148.4615.469.7216.2119.3615.32-----
3.692.511.701.330.890.590.570.460.380.27-------------0.100.140.220.260.310.280.270.260.140.130.130.120.110.010.020.020.020.03--------
-1.41-1.66-2.42-4.028.351.451.330.860.620.37---------0.170.240.270.310.420.420.600.690.810.600.500.420.230.200.150.130.130.010.020.020.020.03--------
59.7268.31-340.001,6612.7897.09-2,016.67-641--935.00--9.94-44.9422.01-163.77100.00------100.00100.00100.00-------100.00100.00100.00100.00100.00100.00------100.00100.00--
-1,970.67-2,000.92-49,390.0012,373-4,903.89-205.10-168,650.00-3,597--82,300.00--7,657.46-7,906.74-4,764.59-17,411.60-179.67-------3,427.59-141.93-343.80--------1,014.67-949.12-826.37-562.95-613.75-2,090.18-------4,555.58-6,881.63--
-1,970.67-2,000.92-49,390.0012,373-4,903.89-205.10-168,650.00-3,597--82,300.00--7,657.46-7,906.74-4,764.59-17,411.60-179.67-------3,427.59-141.93-343.80--------1,014.67-949.12-826.37-562.95-613.75-2,090.18-------4,555.58-6,881.63--
-------------------------------------------------
-1,745.23-1,504.92-38,390.0020,156-4,405.56-265.21-130,316.70-3,492--81,945.00--7,608.29-7,877.53-4,709.09-17,204.35-175.03-------3,437.93-149.43-342.36--------1,024.85-948.21-824.75-566.16-614.34-2,068.74-------4,990.96-6,998.10--
-1,745.23-1,504.92-38,390.0020,156-4,405.56-265.21-130,316.70-3,492--81,945.00--7,608.29-7,877.53-4,709.09-17,204.34-185.03-------3,437.93-149.43-372.16--------1,024.85-948.21-824.75-566.16-614.34-2,068.74-------5,079.92-7,190.24--
0.010.010.000.000.000.080.000.00-0.01-0.000.000.000.000.000.000.02------0.000.040.03-------0.010.010.010.010.020.01----------
----0.190.100.140.253.020.070.080.140.150.25-----------------------------------
----1.01-------1.761.300.710.97---------1.11-----------------------
----89.50-------51.2269.2712792.61---------81.00-----------------------
21.1925.8052.40216-223.44-81.91-77.00-44.91-69.96-41.68-33.18-21.59-17.72-15.49-10.04-11.41-4.99-11.25-19.88-21.43-24.77-11.07-11.14-19.21-9.22-24.04-24.84-42.50-34.18-36.74-30.78-45.94-32.26-15.88-12.83-10.80-6.73-12.43-14.85-13.40-24.18-14.54-10.438.47-----
21.1925.8052.40216-223.44-81.91-77.00-44.91-69.96-41.68-33.18-21.59-17.72-15.49-10.04-11.41-4.99-11.25-19.88-21.43-24.77-11.07-11.14-19.21-9.22-24.05-24.85-42.52-34.19-36.75-30.78-45.95-32.26-15.88-12.83-10.81-6.73-12.43-14.85-13.40-24.18-14.54-10.438.47-----
-25.74-21.32-24.66-40.70-17.57-20.62-20.42-14.39-29.98-23.12-25.44-17.41-15.03-12.50-8.31-9.29-4.53-9.38-14.66-13.71-15.09-7.20-7.19-11.94-5.89-12.86-13.14-20.24-18.99-22.21-20.08-31.49-24.48-12.93-10.65-8.82-6.22-10.67-12.53-12.28-21.01-13.57-9.85-16.29-----
-57.01-38.91-36.89-71.39-23.89-33.44-33.09-24.13-43.42-30.32-33.18-21.59-17.72-15.49-10.04-11.41-4.99-11.25-19.88-21.43-24.77-11.07-11.14-17.21-7.93-18.76-18.43-29.21-24.76-26.70-22.68-39.30-28.11-13.80-11.33-9.59-6.65-12.20-14.56-13.18-23.52-14.54-10.438.47-----
-27.26-22.23-20.00-11.086.0317.8328.2850.3578.671361872442953443804074432721822002332863143153693293363474745857368811,1091,4491,6611,7611,9431,3771,3831,5801,5231,8752,141-85.23-----
-24.74-19.47-11.05-64.85-48.39-39.13-28.34-181.97-149.41-114.06-68.94-192.21-142.78-101.22-56.12-104.77-61.76-64.80-40.34-161.35-113.85-72.37-54.02-215.60-158.78-141.24-100.74-749.27-618.09-511.16-323.53-1,092.03-764.61-470.00-251.30-571.92-398.96-249.30-96.09-1,008.33-633.62-374.56-240.14-25.87-17.27-9.16-3.830.000.00
-24.74-19.47-11.05-64.93-48.43-39.17-28.34-182.07-149.51-114.06-68.94-192.27-142.84-101.22-56.12-104.90-61.76-64.80-40.34-161.35-113.85-72.37-54.02-217.04-161.84-142.56-102.13-786.02-653.34-532.77-324.81-1,099.25-767.35-472.64-253.43-577.08-401.84-251.76-97.51-1,019.48-643.62-379.11-240.95-26.02-17.37-9.22-3.84--