Energous Financial Ratios for Analysis 2013-2024 | WATT

Fifteen years of historical annual and quarterly financial ratios and margins for Energous (WATT).

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
3.257.1211.5614.654.975.713.814.909.0212.750.27
-----------
-----------0.16
41.14-50.07100.0061.34100.00100.00100.00100.00100.00--
-4,660.58-3,134.70-5,474.79-9,744.67-19,390.09-9,892.61-4,279.67-3,156.51-1,103.09--
-4,660.58-3,134.70-5,474.79-9,744.67-19,390.09-9,892.61-4,279.67-3,156.51-1,103.09--
-4,621.10-3,105.78-5,440.66-9,402.34-18,999.75-9,672.04-4,159.16-3,084.98-1,067.15--
-4,084.23-3,086.41-5,474.06-9,724.18-19,185.83-9,875.26-4,278.73-3,155.60-1,102.47--
-4,084.23-3,086.41-5,474.06-9,724.18-19,185.83-9,875.26-4,278.73-3,155.60-1,102.47--
0.030.030.010.010.010.020.070.040.08--
0.6512.07---------
4.675.942.674.323.1711.56-9.71---
78.1761.4613784.5711531.59-37.58---
-168.44-106.61-88.17-64.89-201.96-276.75-419.92-160.47-94.15-145.60103
-168.44-106.61-88.17-64.89-201.96-276.75-419.92-160.47-94.15-145.60103
-116.14-88.31-80.64-59.90-154.31-230.98-320.52-129.95-84.35-134.81-233.36
-168.44-106.61-88.17-64.89-201.96-276.75-419.92-160.47-94.15-145.60103
2.106.2412.2616.0111.4513.8510.4128.0435.9249.01-39.48
-4.13-6.10-8.85-11.91-17.59-25.53-32.26-37.47-30.07-39.34-26.22
-4.17-6.14-8.96-11.97-17.72-26.20-33.03-38.76-31.63-43.42-27.71

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
0.811.492.103.254.664.563.977.128.479.3711.9411.566.639.6111.3314.656.446.386.274.976.548.379.145.717.828.9911.163.815.513.514.814.905.193.224.339.026.5810.979.0612.759.6529.630.030.27---
-----------------------------------------------
-------------------------------------------0.05-0.16---
-33.04-165.22-70.3190.0471.6029.06-43.30-113.67-88.20-16.495.89100.00100.00100.00100.00100.00100.0023.9435.67100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00-100.00100.00100.00--------
-1,556.96-10,110.87-10,414.06-5,041.17-3,006.51-5,237.61-6,488.66-3,548.38-2,736.42-3,032.48-3,313.35-4,180.41-6,190.46-5,956.34-5,878.60-8,303.10-12,292.78-7,180.45-14,076.74-20,734.03-20,498.94-20,940.33-16,685.02-22,344.17-5,549.11-5,979.58-53,796.66-38,574.97-5,100.65-4,314.23-2,168.36-11,260.94-1,008.79-5,657.95-7,920.28--270.28-2,733.32-3,465.80--------
-1,556.96-10,110.87-10,414.06-5,041.18-3,006.51-5,237.61-6,488.66-3,548.38-2,736.42-3,032.48-3,313.35-4,180.41-6,190.46-5,956.34-5,878.60-8,303.10-12,292.78-7,180.45-14,076.74-20,734.03-20,498.94-20,940.33-16,685.02-22,344.17-5,549.11-5,979.58-53,796.66-38,574.96-5,100.65-4,314.23-2,168.36-11,260.94-1,008.79-5,657.95-7,920.28--270.28-2,733.32-3,465.80--------
-----------------------------------------------
-1,483.48-9,256.52-10,310.94-5,049.97-2,434.32-3,414.53-6,858.76-3,426.53-2,672.42-3,012.28-3,312.04-4,179.68-6,190.05-5,955.79-5,877.20-8,303.17-12,287.54-7,173.48-13,985.74-20,575.77-20,207.97-20,639.99-16,570.63-22,217.66-5,546.18-5,976.67-53,773.83-38,566.96-5,099.30-4,313.44-2,167.85-11,257.94-1,008.50-5,656.51-7,917.44--270.15-2,731.81-3,462.64--------
-1,483.48-9,256.52-10,310.94-5,049.97-2,434.32-3,414.53-6,858.76-3,426.53-2,672.42-3,012.28-3,312.04-4,179.68-6,190.05-5,955.79-5,877.20-8,303.17-12,287.54-7,173.48-13,985.74-20,575.77-20,207.97-20,639.99-16,570.63-22,217.66-5,546.18-5,976.67-53,773.83-38,566.96-5,099.30-4,313.44-2,167.85-11,257.94-1,008.50-5,656.51-7,917.44--270.15-2,731.81-3,462.64--------
0.060.010.000.010.010.010.000.010.010.010.000.000.010.000.000.000.000.000.000.000.000.000.000.000.010.010.000.000.010.020.020.000.030.010.010.000.100.010.01--------
0.420.220.180.020.240.471.943.622.555.202.97------------------------------------
1.510.722.370.891.410.700.961.250.921.111.090.791.141.520.931.190.021.091.040.720.471.001.001.261.091.001.00-1.001.202.280.871.616.06--1.04----------
59.4812537.9710164.0112993.6572.0098.1181.2482.9011378.9759.3597.2775.854,67282.8086.6312519090.0090.2071.5382.4190.0090.00-90.1875.2739.4210456.0314.85--86.75----------
-786.19-141.55-92.22-40.05-27.35-22.32-31.11-24.91-20.39-20.38-17.56-20.05-47.94-30.50-19.92-15.23-39.69-38.17-46.95-49.39-38.46-36.02-32.34-67.79-47.02-34.97-31.30-95.56-66.22-105.36-62.71-51.18-42.44-83.41-52.12-30.35-32.39-28.96-26.41-28.81-31.681.2186.4742.62---
-786.18-141.56-92.22-40.05-27.35-22.32-31.11-24.91-20.39-20.38-17.56-20.05-47.94-30.50-19.92-15.23-39.69-38.17-46.95-49.39-38.46-36.02-32.34-67.79-47.02-34.97-31.30-95.56-66.22-105.36-62.71-51.18-42.44-83.41-52.12-30.35-32.39-28.96-26.41-28.81-31.681.2186.4742.62---
-86.38-59.29-50.40-27.61-21.00-16.97-22.69-20.64-17.31-17.53-16.11-18.34-41.01-27.28-18.06-14.06-32.69-31.24-37.79-37.74-30.91-31.85-28.91-56.58-41.26-31.22-28.58-72.94-55.17-79.18-50.80-41.44-34.87-60.39-40.95-27.19-27.93-26.54-23.68-26.68-28.661.17-1,953.82-96.29---
-786.18-141.56-92.22-40.05-27.35-22.32-31.11-24.91-20.39-20.38-17.56-20.05-47.94-30.50-19.92-15.23-39.69-38.17-46.95-49.39-38.46-36.02-32.34-67.79-47.02-34.97-31.30-95.56-66.22-105.36-62.71-51.18-42.44-83.41-52.12-30.35-32.39-28.96-26.41-28.81-31.681.2186.4742.62---
0.060.461.182.102.983.894.706.247.538.8910.5712.268.2311.4913.8216.018.8410.319.6511.4513.8017.7922.4713.8520.6427.5233.8010.4117.3711.7619.3228.0425.1114.5225.1335.9226.3132.7240.8549.0138.9148.61-264.86-39.48---
-2.18-1.66-0.85-4.13-3.34-2.56-1.32-6.10-4.86-3.49-1.65-8.85-7.14-4.04-1.94-11.91-9.29-6.50-4.22-17.59-13.64-9.48-5.28-25.53-18.96-12.07-6.30-32.26-24.49-18.37-9.77-37.47-27.29-19.07-7.72-30.07-23.75-16.26-7.48-39.34-17.96-8.22-9.21-24.87-13.13-7.19-0.26
-2.20-1.67-0.85-4.17-3.36-2.57-1.32-6.14-4.89-3.52-1.66-8.96-7.24-4.10-1.98-11.97-9.29-6.50-4.22-17.72-13.76-9.59-5.39-26.20-19.39-12.50-6.49-33.03-24.96-18.77-9.85-38.76-28.25-19.46-7.87-31.63-24.88-17.06-7.81-43.42-19.68-8.88-9.41-26.25-13.24-7.20-0.26