Viridian Therapeutics Financial Ratios for Analysis 2013-2024 | VRDN

Fifteen years of historical annual and quarterly financial ratios and margins for Viridian Therapeutics (VRDN).

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
20232022202120202019201820172016201520142013
18.2612.9314.6812.142.929.7113.313.474.753.410.08
0.040.01--0.220.130.200.16---0.01
0.050.01--0.530.200.260.320.110.04-1.14
100.00100.00100.00100.00100.00100.00100.00100.002.6022.0835.63
-81,035.03-7,579.23-2,690.79-10,512.38-941.02-394.51-662.80-488.55-440.78-158.96-4.56
-81,035.03-7,579.23-2,690.79-10,512.38-941.02-394.51-662.80-488.55-440.78-158.96-4.56
-84,528.02-7,576.69-2,654.17-10,457.52-944.25-396.12-655.11-478.75-433.53-155.63-1.14
-75,711.46-7,329.23-2,680.16-10,544.29-938.65-389.97-662.30-496.81-446.34-182.64-50.05
-75,711.46-7,329.23-2,680.16-10,544.29-938.65-389.97-662.43-498.22-446.34-182.64-56.65
0.000.000.010.010.150.130.080.140.200.531.18
--------13.2218.807.78
-----3492.751746.443.974.34
-----1.041332.1056.6691.9384.06
-100.95-51.35-147.38182-265.79-63.69-68.8427.90-108.82-131.709.04
-53.78-32.87-42.30-92.23-265.79-63.69-68.84-114.74-108.82-131.709.04
-48.48-29.85-38.98-84.35-138.37-49.44-50.52-69.77-87.80-97.54-58.81
-51.43-32.49-42.30-92.23-208.51-55.10-54.74-96.64-108.82-131.709.14
8.199.567.8528.376.7824.9625.58271220356-
-4.12-2.92-4.58-8.37-17.26-13.60-21.94-360.28-191.87-220.49-5.85
-4.14-2.95-4.60-8.38-17.30-13.82-22.13-366.39-195.29-246.99-5.87

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-31
18.5515.8223.9918.2613.9312.0912.9312.9317.357.7712.4714.6815.206.867.3912.144.234.844.432.923.685.267.909.7111.0918.9620.8713.317.107.447.823.472.283.073.964.756.445.725.813.414.344.570.060.08---
0.030.030.030.040.070.010.010.010.010.03------0.160.200.110.220.190.160.150.130.130.130.120.200.030.040.050.16---------0.01-0.01-0.01---
0.030.040.030.050.070.010.010.010.010.03---0.000.00-0.420.420.270.530.400.300.250.200.170.150.140.260.090.090.090.320.240.170.130.110.100.120.100.040.000.01-1.11-1.14---
100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00-100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.0030.55-15.177.63-17.83-19.4230.8225.1233.0027.5227.4945.3241.29
-97,069.76-100,259.70-77,634.73-99,275.00-71,144.45-82,326.39-73,952.05-46,729.57-2,492.47-11,548.44-11,985.65-13,589.25-6,795.19-1,651.19-1,276.02-167,774.20--3,794.05-965.94-1,144.43-1,615.83-355.69-3,154.84-2,196.01-969.39-406.10-96.55-533.05-361.07-1,023.68-1,501.95-1,161.89-436.11-309.42-386.15-449.39-624.35-339.24-404.96-344.95-125.52-220.64-15.3122.29-31.69-5.47-6.96
-97,069.76-100,259.70-77,634.73-99,275.00-71,144.45-82,326.39-73,952.05-46,729.56-2,492.47-11,548.44-11,985.65-13,589.25-6,795.19-1,651.19-1,276.02-167,774.20--3,794.05-965.94-1,144.43-1,615.83-355.69-3,154.84-2,196.01-969.39-406.10-96.55-533.05-361.07-1,023.68-1,501.95-1,161.89-436.11-309.42-386.15-449.39-624.35-339.24-404.96-344.95-125.52-220.64-15.3122.29-31.69-5.47-6.96
-----------------------------------------------
-89,173.25-90,268.06-67,419.45-92,861.09-66,194.45-76,476.40-69,541.84-43,604.80-2,418.83-11,519.92-11,894.91-13,526.16-6,751.44-1,648.07-1,272.23-168,040.90--3,830.36-971.50-1,149.77-1,615.83-353.86-3,126.08-2,167.44-954.56-399.36-97.43-535.74-357.69-1,018.38-1,510.82-1,173.67-443.70-316.05-395.09-452.89-629.14-349.05-408.37-345.26-125.83-258.16-64.71-18.62-89.43-48.93-47.14
-89,173.26-90,268.05-67,419.45-92,861.06-66,194.45-76,476.39-69,541.84-43,604.80-2,418.83-11,519.92-11,894.91-13,526.16-6,751.44-1,648.07-1,272.23-168,040.90--3,830.36-971.50-1,149.77-1,615.83-353.86-3,126.08-2,167.44-954.56-399.36-97.43-535.74-357.69-1,018.38-1,511.91-1,176.03-445.09-317.13-396.40-452.89-629.14-349.05-408.37-345.26-125.83-258.16-64.71-18.62-95.53-57.09-55.04
0.000.000.000.000.000.000.000.000.000.000.000.000.000.010.010.00-0.010.020.030.020.050.010.010.010.030.060.020.030.010.010.020.120.120.080.050.030.060.040.080.140.120.310.30---
-----------------------------------2.441.591.262.304.363.884.945.882.22---
-----------------0.68207-0.717.7462.0019.830.681.820.990.822.571.331.6725.451.281.691.871.670.921.261.080.600.840.940.931.10---
-----------------1330.43-12711.631.454.5413249.4190.4711035.0467.5653.963.5470.4853.1148.0953.8998.2671.2483.4415010796.0396.8282.07---
-14.79-19.72-12.68-28.39-32.06-30.43-31.60-18.10-10.83-76.76-47.12-53.72-32.5632.4033.57149-26.11-30.40-29.79-64.23-48.47-26.61-28.39-20.09-14.84-12.88-6.41-16.58-14.96-17.69-14.549.65-88.63-54.75-43.45-28.63-24.95-23.41-20.03-37.69-21.74-38.862.870.85---
-10.84-12.28-8.33-15.13-16.81-17.43-19.44-11.59-7.07-20.78-15.42-15.42-6.86-18.16-17.42-75.60-26.11-30.40-29.79-64.23-48.47-26.61-28.39-20.09-14.84-12.88-6.41-16.58-14.96-17.69-14.54-39.68-88.63-54.75-43.45-28.63-24.95-23.41-20.03-37.69-21.74-38.862.870.85---
-9.94-11.10-7.70-13.63-14.50-15.67-17.63-10.52-6.56-17.37-14.03-14.21-6.35-15.20-15.03-69.13-16.73-19.22-20.60-33.43-28.93-18.24-21.16-15.60-11.77-10.64-5.36-12.17-12.39-14.62-12.08-24.13-55.07-38.97-33.56-23.10-21.30-19.57-16.73-27.91-17.19-30.85-20.20-5.53---
-10.53-11.89-8.05-14.46-15.70-17.18-19.19-11.45-6.99-20.13-15.42-15.42-6.86-18.16-17.42-75.60-21.83-24.24-26.47-50.38-39.50-22.45-24.20-17.38-12.94-11.24-5.63-13.19-14.45-16.92-13.87-33.42-88.63-54.75-43.45-28.63-24.95-23.41-20.03-37.69-21.74-38.582.890.86---
8.948.299.138.196.497.258.149.5610.164.996.137.8510.5611.4914.6628.375.535.987.636.7811.1416.1519.8624.9629.5233.1636.1125.5826.7028.8533.6227197.62134175220267313394356447503-1,461.24----
-2.39-1.43-0.74-4.12-3.35-2.48-1.47-2.92-1.77-1.41-0.81-4.58-3.40-3.23-1.82-8.37-5.47-4.31-2.79-17.26-13.63-9.19-5.73-13.60-9.11-5.87-4.17-21.94-14.54-10.69-10.62-360.28-285.60-215.00-96.03-191.87-154.89-95.12-43.03-220.49-67.29-124.520.43-5.81-68.16-44.60-4.10
-2.40-1.43-0.74-4.14-3.37-2.49-1.47-2.95-1.79-1.43-0.81-4.60-3.42-3.23-1.82-8.38-5.48-4.31-2.79-17.30-13.67-9.22-5.75-13.82-9.30-5.97-4.22-22.13-14.69-10.79-10.67-366.39-291.58-220.38-98.45-195.29-157.66-97.09-44.74-246.99-67.51-125.810.43-5.83-68.34-44.60-4.10