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COM:MADRIGALPHARMA

Madrigal Pharmaceuticals

  • Stock

Last Close

215.93

31/10 20:00

Market Cap

6.06B

Beta: -

Volume Today

1.34M

Avg: -

Preview

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Dec '13
Mar '14
Jun '14
Sep '14
Dec '14
Mar '15
Jun '15
Sep '15
Dec '15
Mar '16
Jun '16
Sep '16
Dec '16
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Mar '18
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Mar '19
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Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
asset turnover
0.01
-
cash conversion cycle
-149.14
-
cash per share
37.47
-
32.28
13.87%
41.70
29.21%
39.47
5.36%
31.55
20.07%
24.74
21.58%
26.02
5.15%
512.96
1,871.74%
16.96
96.69%
295.43
1,641.57%
244.18
17.35%
4.47
98.17%
5.37
20.19%
3.36
37.55%
5.58
66.23%
5.02
10.03%
18.61
270.71%
12.94
30.46%
34.09
163.41%
31.91
6.38%
59.29
85.79%
31.10
47.55%
30.35
2.42%
29.43
3.03%
28.46
3.30%
26.48
6.95%
24.91
5.93%
21.75
12.69%
18.36
15.56%
19.39
5.63%
19.54
0.76%
17.98
8.01%
15.83
11.93%
12.86
18.78%
12.38
3.72%
8.96
27.66%
20.81
132.38%
18.12
12.96%
16.30
10.04%
12.58
22.84%
32.09
155.18%
52.97
65.08%
49.66
6.26%
company equity multiplier
1.94
-
2.15
10.87%
1.57
27.12%
1.48
5.74%
1.55
4.65%
1.72
11.33%
1.47
14.45%
1.51
2.42%
1.35
10.26%
1.19
11.68%
1.08
9.54%
1.10
2.15%
1.13
2.51%
1.17
3.50%
1.10
5.72%
1.16
4.75%
1.06
8.80%
1.04
1.86%
1.01
2.35%
1.01
0.25%
1.02
0.39%
1.02
0.58%
1.03
0.44%
1.04
0.78%
1.06
2.42%
1.07
0.59%
1.13
6.11%
1.17
3.50%
1.20
2.02%
1.19
0.60%
1.21
1.93%
1.30
7.06%
1.39
7.44%
1.53
9.61%
2.59
69.56%
14.87
473.97%
1.84
87.65%
2.21
20.55%
2.92
31.97%
10.70
266.01%
1.58
85.22%
1.27
19.50%
1.28
0.86%
days of inventory outstanding
704.85
-
days of payables outstanding
11.03K
-
17.77K
61.16%
896.41
-
days of sales outstanding
42.42
-
dividend yield
ebit per revenue
-11.10
-
ebt per ebit
1.03
-
1.03
0.22%
1.03
0.14%
1.03
0.04%
1.02
0.35%
1.02
0.45%
1.02
0.32%
1.01
0.17%
1.02
0.16%
1.01
0.30%
0.97
4.30%
1.00
2.95%
1.00
0.21%
0.99
1.16%
0.99
0.16%
0.97
2.11%
0.95
2.12%
0.90
5.01%
0.83
8.31%
0.75
9.01%
0.79
5.70%
0.83
4.83%
0.87
4.25%
0.89
2.08%
0.93
4.56%
0.95
2.67%
0.97
2.45%
0.99
1.22%
0.99
0.68%
0.99
0.09%
1.00
0.68%
1.00
0.05%
1.00
0.01%
1.00
0.20%
1.01
0.53%
1.01
0.32%
1.01
0.26%
0.98
2.53%
0.99
1.11%
1.00
0.97%
0.96
4.45%
0.97
1.35%
0.93
3.65%
effective tax rate
0.03
-
-0.02
-
-0.01
-
0.03
373.32%
0.18
-
0.00
-
0.00
-
0.03
-
0.00
-
0.00
55.20%
0.00
-
-0.00
173.05%
-0.01
819.28%
-0.02
67.74%
-0.02
5.85%
-0.01
40.49%
-0.04
242.59%
0.00
103.43%
enterprise value multiple
-18.14
-
-14.82
18.26%
-14.23
4.02%
-13.80
3.00%
-12.93
6.30%
-9.35
27.67%
-14.08
50.56%
1.63
111.58%
-1.74
206.56%
6.09
450.67%
2.62
57.04%
-7.37
381.36%
-16.89
129.30%
-29.32
73.61%
-19.28
34.24%
-65.10
237.59%
-108.27
66.32%
-228.76
111.28%
-481.69
110.56%
-283.95
41.05%
-86.23
69.63%
-108.31
25.61%
-69.04
36.25%
-51.32
25.66%
-45.39
11.55%
-25.45
43.94%
-33.51
31.68%
-29.42
12.21%
-27.99
4.84%
-34.23
22.26%
-25.65
25.04%
-20.29
20.92%
-21.85
7.69%
-28.42
30.08%
-17.48
38.50%
-13.85
20.77%
-56.06
304.79%
-58.81
4.90%
-51.29
12.78%
-27.94
45.54%
-39.22
40.37%
-30.34
22.64%
-34.49
13.68%
fixed asset turnover
4.65
-
free cash flow per share
-7.69
-
-8.31
8.10%
-7.78
6.44%
-6.16
20.86%
-6.22
1.12%
-6.06
2.59%
-4.70
22.52%
-90.76
1,831.98%
-4.93
94.57%
-69.34
1,305.90%
-40.13
42.12%
0.79
101.96%
-0.46
158.37%
-0.32
31.23%
-0.65
104.59%
-0.40
38.05%
-0.46
15.51%
-0.61
32.45%
-0.37
39.10%
-0.34
7.95%
-0.41
19.15%
-0.42
3.81%
-0.75
76.95%
-0.73
2.17%
-0.80
9.56%
-2.00
148.23%
-1.57
21.29%
-3.10
97.02%
-3.55
14.65%
-2.74
22.72%
-2.83
3.09%
-2.74
3.12%
-2.82
2.92%
-2.92
3.56%
-3.36
15.01%
-3.46
2.85%
-3.40
1.71%
-4.62
36.15%
-4.12
10.97%
-4.61
12.09%
-4.10
11.20%
-0.01
99.82%
-6.54
87,412.61%
gross profit margin
0.94
-
interest coverage
-32.65
-
-35.24
7.93%
-37.10
5.26%
-37.62
1.41%
-43.44
15.46%
-54.22
24.82%
-65.89
21.53%
-74.33
12.81%
-66.54
10.49%
-83.73
25.83%
-183.63
119.32%
-337.27
83.67%
-1.11K
228.52%
-41.25
-
-4.85
-
-13.53
-
-13.76
-
-177.96
-
-832.59
367.84%
-90.09
89.18%
-53.54
40.58%
-50.71
5.27%
-33.53
33.87%
-29.80
11.14%
28.12
194.36%
-29.51
204.93%
-44.46
-
inventory turnover
0.13
-
long term debt to capitalization
0.22
-
0.23
5.44%
0.11
52.11%
0.08
31.08%
0.07
13.26%
0.05
27.80%
0.00
99.04%
0.00
60.71%
0.00
-
0.00
10.84%
0.00
11.98%
0.00
13.46%
0.00
16.47%
0.00
20.62%
0.00
228.83%
0.00
3.09%
0.00
23.80%
0.00
47.66%
0.00
4.74%
0.00
5.59%
0.00
1.60%
0.37
18,939.75%
0.82
122.59%
0.20
75.67%
0.36
79.50%
0.49
36.48%
0.84
71.42%
0.22
73.58%
0.12
45.40%
0.12
1.08%
net income per ebt
1
-
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1.00
0.12%
1.01
0.98%
1.02
0.74%
1.02
0.11%
1.01
0.78%
1
1.15%
1
0%
1
0%
1
0%
1
0%
net profit margin
-10.38
-
operating cash flow per share
-7.66
-
-8.30
8.45%
-7.77
6.45%
-6.14
20.92%
-6.21
1.01%
-6.06
2.29%
-4.69
22.64%
-90.69
1,833.31%
-4.93
94.57%
-69.34
1,307.21%
-40.13
42.12%
0.79
101.96%
-0.46
158.34%
-0.32
31.24%
-0.64
101.46%
-0.40
37.06%
-0.47
17.99%
-0.61
29.65%
-0.37
39.09%
-0.34
8.18%
-0.41
19.29%
-0.42
3.29%
-0.75
78.09%
-0.73
2.17%
-0.80
8.36%
-1.98
148.38%
-1.57
20.50%
-3.10
97.06%
-3.55
14.63%
-2.74
22.78%
-2.83
3.19%
-2.74
3.23%
-2.81
2.79%
-2.92
3.70%
-3.35
14.92%
-3.45
2.98%
-3.39
1.71%
-4.62
36.16%
-4.11
11.02%
-4.60
11.75%
-4.05
11.99%
-0.01
99.82%
-6.31
84,408.80%
operating cycle
747.27
-
operating profit margin
-11.10
-
payables turnover
0.01
-
0.01
37.95%
0.10
-
pretax profit margin
-10.38
-
price fair value
9.12
-
9.63
5.64%
5.20
46.04%
3.80
26.85%
4.41
15.95%
4.56
3.35%
4.28
6.15%
0.17
95.94%
0.95
449.54%
0.03
96.50%
0.04
15.52%
2.98
7,639.41%
4.71
57.83%
5.34
13.47%
3.18
40.57%
10.25
222.79%
6.34
38.12%
9.31
46.78%
8.28
11.13%
6.73
18.70%
3.63
46.09%
4.28
18.05%
3.58
16.32%
3.02
15.76%
3.37
11.81%
2.67
20.82%
5.10
90.74%
6.33
24.22%
7.17
13.23%
7.11
0.81%
5.96
16.13%
5.65
5.22%
7.38
30.53%
11.51
56.06%
14.66
27.28%
104.18
610.82%
25.35
75.67%
29.35
15.79%
40.87
39.24%
121.28
196.77%
11.28
90.70%
6.01
46.72%
6.97
16.06%
receivables turnover
2.12
-
return on assets
-0.25
-
-0.29
12.94%
-0.19
32.94%
-0.16
16.00%
-0.20
25.20%
-0.26
29.02%
-0.19
25.24%
-0.19
0.67%
-0.15
20.23%
-0.12
20.28%
-0.08
38.95%
-0.34
350.13%
-0.19
44.44%
-0.15
20.95%
-0.12
17.50%
-0.13
8.54%
-0.04
67.01%
-0.03
21.01%
-0.01
62.11%
-0.02
32.30%
-0.02
35.95%
-0.03
33.02%
-0.04
33.34%
-0.05
12.02%
-0.06
33.61%
-0.09
39.95%
-0.13
43.72%
-0.17
35.22%
-0.21
20.70%
-0.17
17.65%
-0.19
10.81%
-0.21
10.16%
-0.24
14.03%
-0.26
9.52%
-0.33
27.78%
-0.52
57.74%
-0.24
53.66%
-0.23
3.14%
-0.28
21.23%
-0.41
46.27%
-0.18
57.79%
-0.14
22.17%
-0.14
1.36%
return on capital employed
-0.37
-
-0.46
23.55%
-0.26
43.33%
-0.21
17.70%
-0.29
32.94%
-0.42
47.14%
-0.28
32.63%
-0.29
1.93%
-0.21
28.52%
-0.15
29.38%
-0.08
42.29%
-0.37
346.64%
-0.21
43.17%
-0.18
17.22%
-0.14
22.35%
-0.16
16.15%
-0.05
69.26%
-0.04
18.40%
-0.02
59.65%
-0.02
45.77%
-0.03
29.12%
-0.04
27.46%
-0.05
28.48%
-0.05
10.61%
-0.07
30.89%
-0.10
37.13%
-0.15
48.88%
-0.20
38.08%
-0.25
22.30%
-0.20
18.03%
-0.23
12.11%
-0.27
17.89%
-0.33
22.52%
-0.39
19.66%
-0.53
34.93%
-1.35
153.64%
-0.35
74.32%
-0.33
3.23%
-0.43
27.42%
-0.71
67.10%
-0.22
68.49%
-0.16
30.03%
-0.17
6.17%
return on equity
-0.49
-
-0.62
25.21%
-0.30
51.13%
-0.24
20.82%
-0.31
31.03%
-0.45
43.63%
-0.29
36.04%
-0.29
1.73%
-0.21
28.42%
-0.15
29.59%
-0.08
44.77%
-0.37
359.81%
-0.21
43.05%
-0.17
18.18%
-0.14
22.22%
-0.15
13.70%
-0.05
69.91%
-0.04
22.48%
-0.01
63.00%
-0.02
32.63%
-0.02
36.48%
-0.03
33.79%
-0.04
33.92%
-0.05
12.89%
-0.07
36.84%
-0.09
40.77%
-0.14
52.50%
-0.20
39.95%
-0.25
23.14%
-0.20
18.15%
-0.23
12.95%
-0.27
17.94%
-0.33
22.52%
-0.40
20.04%
-0.86
116.65%
-7.75
805.39%
-0.44
94.27%
-0.52
16.77%
-0.83
59.98%
-4.44
435.38%
-0.28
93.76%
-0.17
37.35%
-0.18
2.24%
total debt to capitalization
0.32
-
0.35
9.51%
0.20
43.36%
0.16
18.96%
0.18
8.43%
0.20
14.15%
0.12
40.95%
0.10
12.76%
0.08
18.37%
0.05
40.83%
0.00
98.46%
0.00
-
0.00
5.90%
0.00
5.64%
0.00
4.84%
0.00
4.40%
0.00
2.25%
0.00
96.16%
0.00
9.92%
0.00
17.11%
0.00
35.63%
0.00
3.66%
0.00
6.39%
0.00
17.42%
0.37
7,751.21%
0.82
120.71%
0.20
75.50%
0.36
78.66%
0.49
36.09%
0.84
71.18%
0.22
73.50%
0.12
45.59%
0.12
0.66%

All numbers in (except ratios and percentages)