Pharvaris N.V. Ratios

Ratios Dec2018 Dec2019 Dec2020 Dec2021 Dec2022 Dec2023 Dec2024
Profitability
EBT Margin 1,135,340.53%47,651.46%2,453.87%12,331.42%0.06%0.11%-2,710.56%
EBIT Margin 1,135,240.53%47,551.46%2,453.87%12,254.04%0.06%0.11%-2,821.58%
EBITDA Margin 1,135,240.53%47,551.46%2,453.87%12,254.04%0.06%0.11%-2,821.58%
Operating Margin 1,135,240.53%47,551.46%2,453.87%
Net Margin 1,135,340.53%47,651.46%2,446.03%-20,255,567.79%-546.29%-1,164.57%37,361,135.84%
FCF Margin 1,031,224.47%39,633.24%2,027.80%12,929.49%0.05%0.10%-2,470.45%
Leverage & Solvency
Interest Coverage Ratio -0.01M-475.51-24.54-158.36-0.00M490.3025.42
Times Interest Earned -0.01M-475.51-24.54-158.36-0.00M490.3025.42
Valuation
Enterprise Value 758.71M476.72M380.11M1,149.59M1,039.65M
Market Capitalization 758.71M
Return Ratios
Return on Sales 476.51%24.46%-5.46%-11.65%