Viveve Medical Financial Ratios for Analysis 2009-2025 | VIVE

Fifteen years of historical annual and quarterly financial ratios and margins for Viveve Medical (VIVE).

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
2021202020192018201720162015201420132012201120102009
4.912.753.523.893.411.951.500.620.120.894.941.651.64
0.250.410.190.861.101.06----2.104.30--
0.340.840.246.22-11.13-23.781.13-2.97-0.87-0.68-1.30--
9.655.4015.4739.5348.6935.4231.9344.44-19.7449.9136.51-11.7555.47
-335.40-337.56-467.17-242.83-220.63-261.92-828.61-6,291.11-2,586.19-381.94-502.53-529.64-34.58
-335.40-337.56-467.17-242.83-220.63-261.92-828.61-6,291.11-2,586.19-381.94-502.53-529.64-34.58
-317.93-313.93-449.17-238.59-217.69-260.37-823.29-6,228.89-2,542.76-377.96-501.19-522.49-32.54
-338.80-392.99-638.02-266.37-241.75-281.63-858.74-6,866.67-2,840.13-776.57-1,041.73-529.64-34.52
-415.78-475.71-653.36-269.92-241.75-281.63-858.74-6,866.67-2,840.13-776.57-858.12-86.03-34.52
0.250.330.240.400.420.490.130.040.130.990.190.180.93
3.941.591.142.723.281.720.640.380.802.971.792.122.40
11.707.124.173.252.463.422.4415.00-2.691.484.856.54
31.1851.3087.4311214810715024.33-13624675.2455.78
-144.50-308.75-253.61-1,004.151,4214,966-315.7073557.5470.20159-216.81-94.04
-144.50-308.75-253.61-1,004.151,4214,966-315.7073559.0870.20159-216.81-94.04
-84.02-129.48-155.31-105.32-102.44-138.23-111.88-268.93-379.35-768.74-183.09-93.79-32.25
-107.83-180.68-204.35-139.18-140.27-273.36-315.7073559.08218-524.46-216.81-94.04
1.423.2123.33106-133.31-37.99526-366.83-1.12-0.37-0.130.050.06
-1.28-9.68-249.89-1,385.53-1,991.94-1,961.29-2,427.83-1.23-70.920.00-0.12-0.09-0.08
-1.32-10.17-258.58-1,454.41-2,043.66-1,989.05-2,449.53-1.26-71.00--0.12-0.09-0.08

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
2022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.891.321.714.917.1210.407.922.754.853.523.703.523.052.983.953.893.714.416.463.413.897.024.691.953.485.721.001.501.241.860.280.620.950.380.560.122.942.343.820.891.751.843.454.9411.8114.609.481.651.551.561.541.641.922.152.31
---0.250.200.160.150.410.310.320.250.191.871.781.170.861.100.770.611.100.730.530.221.060.630.50--------4.13-1.19--1.21-1.51-0.97-2.10-2.08-2.87-3.934.302.562.021.73--------
4.751.030.520.340.240.190.220.840.520.530.330.24-2.14-2.29-6.746.22-10.893.421.55-11.132.721.150.39-23.781.901.009.611.132.500.78-1.14-2.972.03-0.81-0.54-0.87-0.55-0.60-0.49-0.68-0.68-0.74-0.80-1.30-1.64-1.98-2.36--------
32.4216.3819.50-2.407.059.9826.3412.6915.81-52.1313.42-8.20-4.4710.5535.5637.2330.9950.9336.4254.3449.4140.2846.7638.9937.3734.3227.1038.1628.6027.40-31.5861.5411.76-53.1976.6967.6163.7148.5651.9660.3841.8735.0062.4337.0450.25-145.6155.56-129.41-6.02-61.8041.9551.1262.0560.94
-276.84-279.67-333.52-350.94-339.85-298.97-353.72-222.03-223.36-701.85-446.86-486.08-620.53-790.97-291.40-274.33-229.45-186.33-306.57-184.85-216.76-294.64-210.98-225.49-250.68-292.03-311.21-473.94-531.68-3,954.80-6,405.26-6,388.46-13,882.35--1,414.89152-15,324.40-345.70-307.47-184.54-516.51-266.12-5,845.00-492.06-3,307.41-201.01-1,314.04-818.52-4,017.65-349.00-456.55-66.93-35.09-25.25-22.91
-276.84-279.67-333.52-350.94-339.85-298.97-353.72-222.03-223.36-701.85-446.86-486.08-620.53-790.97-291.40-274.33-229.45-186.33-306.57-184.85-216.76-294.64-210.98-225.49-250.68-292.03-311.21-473.94-531.68-3,954.80-6,405.26-6,388.46-13,882.35--1,414.89152-15,324.40-345.70-307.47-184.54-516.51-266.12-5,845.00-492.06-3,307.41-201.01-1,314.04-818.52-4,017.65-349.00-456.55-66.93-35.09-25.25-22.91
-------------------------------------------------------
-295.49-297.72-351.25-366.94-360.46-240.08-394.14-241.14-241.47-998.44-469.94-1,007.65-740.30-911.22-328.82-299.06-252.48-205.57-335.77-200.43-236.24-338.91-220.16-237.36-263.33-341.65-319.78-488.96-551.20-4,117.81-6,642.11-6,703.85-14,729.41--1,706.38626-18,913.082,136-2,243.68619-1,492.93-397.80-33,895.00-544.44-1,485.19-135.93-8,805.26-818.52-4,017.65-349.00-456.55-66.93-35.00-25.16-22.85
-295.49-395.77-435.83-516.65-360.46-312.52-476.55-300.00-314.17-1,155.68-559.74-1,047.35-756.27-924.33-332.97-304.65-252.48-208.43-342.50-200.43-236.24-338.91-220.16-237.36-263.33-341.65-319.78-488.96-551.20-4,117.81-6,642.11-6,703.85-14,729.41--1,706.38-459.11-18,913.08466-2,243.68619-1,492.93-397.80-33,895.00-544.44-1,485.19-135.93-6,643.86-818.52-29.41-79.92-210.11-66.93-35.00-25.16-22.85
0.140.120.080.070.050.050.040.120.080.030.060.050.040.040.090.100.130.110.070.140.120.080.080.170.100.070.150.070.070.010.020.010.01-0.08-0.500.000.160.100.440.120.200.010.050.010.080.010.020.010.070.060.180.170.190.23
0.700.940.851.190.700.570.350.520.280.220.250.320.270.200.500.680.740.650.610.971.080.900.680.560.821.211.010.300.650.160.300.080.110.030.20-0.590.010.842.011.280.361.060.060.300.091.290.430.080.050.330.540.600.530.470.59
1.962.243.223.113.142.384.322.532.210.691.020.920.370.300.630.780.970.760.530.820.840.810.761.171.022.641.621.272.44-1.094.334.53-0.18-0.011.770.931.210.401.030.060.420.111.510.480.450.030.290.361.251.111.302.93
45.9640.1627.9228.9628.6337.8720.8635.5940.6913088.2797.5724030414311593.1711817011010711111976.7587.9634.0755.4470.9736.83-82.8920.7719.85-492-9,52750.8196.7274.6022387.271,38621679059.471892023,29330725271.9281.2969.2730.67
-420.27-101.31-56.75-41.55-28.60-15.81-20.75-67.32-33.19-66.14-48.82-88.5052.6670.13216-272.27440-130.60-65.50393-140.06-65.18-27.021,437-96.28-55.61-941.74-93.42-160.63-58.3882.46207-345.8819.578.9047.768.23-81.6340.44-25.1221.0212.0063.5725.1712.6519.43196-30.82-58.33-78.93-98.70-34.88-15.55-11.80-12.45
-420.27-101.29-56.75-41.55-28.60-15.81-20.75-67.32-33.19-66.14-48.82-88.5052.6670.13216-272.27440-130.60-65.50393-140.06-65.18-27.021,437-96.28-55.61-941.74-93.42-160.63-58.3882.46207-345.8819.578.9049.048.23-81.6340.44-25.1221.0212.0063.5725.1712.6519.43196-30.82-58.33-78.93-98.70-34.88-15.55-11.80-12.45
-40.94-34.50-27.87-24.16-19.17-11.67-15.17-28.23-18.47-34.23-28.59-54.20-32.25-37.60-28.42-28.56-33.40-23.25-21.93-28.34-29.04-26.12-16.75-40.00-25.48-23.05-47.39-33.11-36.04-27.96-154.47-75.85-79.51-156.87-132.78-314.86-35.09349-218.90275-176.82-78.65-265.63-28.99-9.97-10.92-75.14-13.33-20.09-22.76-28.82-11.96-6.04-4.87-5.31
-420.27-101.29-56.75-31.01-23.00-13.27-17.70-39.40-22.79-44.91-36.78-71.31-46.07-54.46-37.60-37.74-44.49-29.56-25.72-38.80-37.66-30.32-21.21-79.11-35.32-27.80-941.74-93.42-160.63-58.3882.46207-345.8810019.5049.0418.18-204.8579.46-77.9764.8046.43313-83.05-19.70-19.81-144.03-30.82-58.33-78.93-98.70-34.88-15.55-11.80-12.45
0.110.490.951.421.922.372.663.215.126.7512.5223.33-100.61-293.48-98.76106-87.78276607-133.313548241,281-37.9947590158.15526312802-1,335.15-366.83321-0.03-0.07-1.12-0.08-0.15-0.35-0.37-0.47-0.39-0.34-0.13-0.10-0.09-0.080.050.040.040.040.060.080.090.09
-1.22-0.91-0.48-1.28-0.91-0.67-0.38-9.68-7.15-7.19-6.42-249.89-439.08-414.06-249.09-1,385.53-1,055.74-742.18-587.73-1,991.94-1,353.70-894.60-690.09-1,961.29-1,147.08-779.73-273.46-2,427.83-1,297.76-1,138.75-730.05-1.23-2.86-25.59-10.84-70.92-0.79-0.02-0.050.000.000.00-0.03-0.12-0.10-0.07-0.03-0.09-0.08-0.06-0.04-0.08-0.06-0.05-0.02
-1.25-0.92-0.48-1.32-0.93-0.67-0.39-10.17-7.38-7.39-6.60-258.58-453.48-429.51-252.95-1,454.41-1,086.95-767.83-605.61-2,043.66-1,395.44-915.24-703.03-1,989.05-1,168.15-796.68-278.26-2,449.53-1,305.24-1,138.98-730.05-1.26-2.93-27.59-10.84-71.00-0.79-0.02-0.05----0.03-0.12-0.10-0.07-0.03-0.09-0.08-0.06-0.04-0.08-0.06-0.05-0.02