Ocular Therapeutix
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
-12.75-15.68-19.1140.92
Price/Sales ratio
11.967.584.952.57
Earnings per Share (EPS)
$-0.95$-0.77$-0.63$0.29

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-8.74-5.47-4.64-2.02-2.62-1.98-7.87-49.28-3.40-4.40-5.65-1.98
Price/Sales ratio
324.55124.45110.0766.6876.2342.3072.2612.234.196.097.8042.30
Price/Book Value ratio
4.262.433.994.904.22-49.2616.526.056.103.9011.364.22
Price/Cash Flow ratio
-12.22-6.45-6.10-2.54-3.08-2.30-23.48-8.12-3.62-5.06-6.74-2.30
Price/Free Cash Flow ratio
-11.51-6.13-5.78-2.18-2.96-2.24-23.11-7.97-3.41-4.66-6.34-2.24
Price/Earnings Growth ratio
0.210.15-0.88-0.090.08-0.06-0.240.52-0.00-0.140.00-0.06
Dividend Yield
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
88.21%81.77%76.52%76.23%76.63%44.99%88.03%89.87%91.18%90.96%91.18%76.63%
Operating Profit Margin
-3509.58%-2182.68%-2296.02%-3220.12%-2970.75%-2029.85%-361.12%-179.30%-152.74%-140.96%-152.74%-2970.75%
Pretax Profit Margin
-3710.88%-2271.31%-2368.99%-3296.20%-3013.96%-2043.34%-894.30%-15.05%-137.95%-138.14%-137.95%-3013.96%
Net Profit Margin
-3710.88%-2271.31%-2368.99%-3296.20%-2899.09%-2127.63%-917.26%-24.82%-123.16%-138.14%-137.95%-2899.09%
Effective Tax Rate
-0.45%-2.45%-1.78%-0.42%3.81%-4.12%-2.56%-64.87%10.72%N/AN/AN/A
Return on Assets
-36.63%-36.03%-59.65%-114.35%-78.98%-114.21%-60.95%-5.27%-42.48%-32.03%-47.58%-78.98%
Return On Equity
-48.80%-44.36%-85.95%-242.42%-160.81%2477.54%-209.77%-12.27%-179.26%-88.59%-125.06%-160.81%
Return on Capital Employed
-37.46%-36.40%-65.01%-147.41%-92.53%-128.61%-26.72%-43.70%-66.71%-37.93%-66.71%-92.53%
Liquidity Ratios
Current Ratio
12.9619.898.423.226.135.009.23N/AN/AN/A4.125.00
Quick Ratio
12.9419.868.403.216.114.929.187.214.066.583.934.92
Cash ratio
6.365.723.963.095.904.528.556.233.255.613.254.52
Days of Sales Outstanding
155.5540.2548.3542.8936.86220.01256.96177.25151.15163.49151.1536.86
Days of Inventory outstanding
533.46153.3293.1097.43170.33149.76210.44103.55158.70159.31158.70158.70
Operating Cycle
689.01193.57141.46140.33207.20369.78467.41280.80309.85322.81195.97369.78
Days of Payables Outstanding
5.27K2.23K1.74K2.85K2.32K513.04474.69380.40411.87303.34411.87513.04
Cash Conversion Cycle
-4.58K-2.04K-1.60K-2.71K-2.12K-143.25-7.27-99.60-102.0119.46-221.58-2.12K
Debt Ratios
Debt Ratio
0.190.130.200.320.330.640.190.250.370.300.760.33
Debt Equity Ratio
0.250.170.300.680.69-13.890.660.601.570.833.210.69
Long-term Debt to Capitalization
0.180.140.210.320.401.070.350.360.600.450.630.40
Total Debt to Capitalization
0.200.140.230.400.401.070.400.370.610.450.640.40
Interest Coverage Ratio
-24.21-22.15-25.78-32.72-33.99-14.06-9.28N/AN/AN/A-11.19-33.99
Cash Flow to Debt Ratio
-1.37-2.20-2.17-2.80-1.98-1.53-1.05-1.23-1.07-0.91-0.92-1.98
Company Equity Multiplier
1.331.231.442.112.03-21.693.442.324.212.764.212.03
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-26.54-19.28-18.01-26.24-24.73-18.35-3.07-1.50-1.15-1.20-1.15-24.73
Free Cash Flow / Operating Cash Flow Ratio
1.061.051.051.161.031.021.011.011.061.081.061.03
Cash Flow Coverage Ratio
-1.37-2.20-2.17-2.80-1.98-1.53-1.05-1.23-1.07-0.91-0.92-1.98
Short Term Coverage Ratio
-15.13N/A-21.95-9.10N/A-68.89-5.55-40.36-37.27-44.28-37.27-37.27
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A