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Lexicon Pharmaceuticals, Inc. (LXRX) 10-Year Financial Performance & Capital Metrics

LXRX • • Industrial / General
HealthcareBiotechnologyMetabolic & Liver DiseasesObesity & Metabolic Disorders
AboutLexicon Pharmaceuticals, Inc., a biopharmaceutical company, focuses on the discovery, development, and commercialization of pharmaceutical products. Its orally-delivered small molecule drug candidates under development comprise Sotagliflozin that completed Phase III clinical trials for the for the treatment of heart failure and type 1 diabetes; and LX9211, which is in Phase II clinical development for the treatment of neuropathic pain. The company has strategic collaboration and license agreements with Bristol-Myers Squibb Company, and Genentech, Inc. Lexicon Pharmaceuticals, Inc. was incorporated in 1995 and is headquartered in The Woodlands, Texas.Show more
  • Revenue $31M +2481.5%
  • EBITDA -$197M -14.8%
  • Net Income -$200M -13.1%
  • EPS (Diluted) -0.63 +21.3%
  • Gross Margin 98.02% +102.0%
  • EBITDA Margin -632.49% +95.6%
  • Operating Margin -634.2% +95.6%
  • Net Margin -644.78% +95.6%
  • ROE -167.66% +0.5%
  • ROIC -81.14% +4.6%
  • Debt/Equity 0.74 -34.8%
  • Interest Coverage -12.65 +3.5%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

No significant strengths identified

✗Weaknesses

  • ✗Negative free cash flow
  • ✗Sales declining 37.4% over 5 years
  • ✗Shares diluted 44.7% in last year
  • ✗Low asset turnover indicates capital-intensive operations

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y3.12%
5Y-37.35%
3Y370.72%
TTM1255.21%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM68.31%

EPS CAGR

10Y-
5Y-
3Y-
TTM74.52%

ROCE

10Y Avg-39.97%
5Y Avg-66.77%
3Y Avg-83.66%
Latest-87.4%

Peer Comparison

Obesity & Metabolic Disorders
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Size & Scale
Valuation
Per Share
Growth
Profitability
Quality & Returns
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TTM Growth
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Momentum & Returns
Total Return (DRIP)
Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
MNKDMannKind Corporation1.73B5.6458.0243.5%9.32%1.89%
CORTCorcept Therapeutics Incorporated3.82B36.3529.5539.94%14.19%16.65%5.12%0.01
GUTSFractyl Health, Inc. Common Stock308.28M2.01-1.24-22.5%-40732.33%-241.68%2.20
LXRXLexicon Pharmaceuticals, Inc.436.08M1.20-1.9024.81%-96.77%-57.07%0.74
RZLTRezolute, Inc.229.96M2.48-2.53-52.45%0.01
MISTMilestone Pharmaceuticals Inc.164.38M1.93-2.88-100%-282.97%4.17
ALTAltimmune, Inc.418.41M4.01-2.99-95.31%-4195.75%-45.21%0.01
BIOABioAge Labs, Inc.741.84M20.69-3.12-12.81%-27.32%0.03

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+130.01M83.34M90.33M63.21M322.07M24M298K139K1.2M31.08M
Revenue Growth %4.69%-0.36%0.08%-0.3%4.1%-0.93%-0.99%-0.53%7.66%24.81%
Cost of Goods Sold+95.19M163.97M1.9M2.49M3.23M1.93M55.05M52.52M58.97M616K
COGS % of Revenue0.73%1.97%0.02%0.04%0.01%0.08%184.72%377.81%48.98%0.02%
Gross Profit+34.83M-80.64M88.44M60.72M318.84M22.07M-54.75M-52.38M-57.77M30.46M
Gross Margin %0.27%-0.97%0.98%0.96%0.99%0.92%-183.72%-376.81%-47.98%0.98%
Gross Profit Growth %1.52%-3.32%2.1%-0.31%4.25%-0.93%-3.48%0.04%-0.1%1.53%
Operating Expenses+119.02M221.19M223.02M164M177.4M69.87M32.34M48.38M113.98M227.58M
OpEx % of Revenue0.92%2.65%2.47%2.59%0.55%2.91%108.53%348.08%94.67%7.32%
Selling, General & Admin23.84M43.04M66.2M63.75M56.84M47.23M000131.9M
SG&A % of Revenue0.18%0.52%0.73%1.01%0.18%1.97%---4.24%
Research & Development95.19M178.15M156.81M100.24M91.92M153.62M55.05M52.82M58.89M84.48M
R&D % of Revenue0.73%2.14%1.74%1.59%0.29%6.4%184.72%379.97%48.91%2.72%
Other Operating Expenses572K2.29M1.95M028.64M-130.99M-22.7M-4.43M55.09M11.2M
Operating Income+1.47M-137.16M-136.68M-103.28M141.44M-47.8M-87.09M-100.76M-171.75M-197.12M
Operating Margin %0.01%-1.65%-1.51%-1.63%0.44%-1.99%-292.25%-724.89%-142.65%-6.34%
Operating Income Growth %1.01%-94.43%0%0.24%2.37%-1.34%-0.82%-0.16%-0.7%-0.15%
EBITDA+2.19M-135.1M-133.28M-99.6M145.1M-44.87M-86.8M-100.33M-171.2M-196.58M
EBITDA Margin %0.02%-1.62%-1.48%-1.58%0.45%-1.87%-291.27%-721.82%-142.19%-6.32%
EBITDA Growth %1.02%-62.55%0.01%0.25%2.46%-1.31%-0.93%-0.16%-0.71%-0.15%
D&A (Non-Cash Add-back)727K2.06M3.4M3.68M3.65M2.93M292K427K554K534K
EBIT10.99M-124.88M-128.67M-99.77M144.79M-44.03M-87.09M-100.46M-170.31M-184.82M
Net Interest Income+-6.15M-4.27M-5.03M-17.27M-17.33M-11.78M-668K-1.18M-5.37M-3.29M
Interest Income572K2.29M1.95M3.51M3.35M2.77M134K1.6M7.73M12.29M
Interest Expense6.72M6.57M6.98M20.78M20.68M14.54M802K2.78M13.1M15.58M
Other Income/Expense-6.15M-4.27M-5.03M-17.27M-17.33M-10.77M-668K-1.18M-5.37M-3.29M
Pretax Income+-4.68M-141.43M-141.71M-120.55M124.12M-58.57M-87.76M-101.94M-177.12M-200.4M
Pretax Margin %-0.04%-1.7%-1.57%-1.91%0.39%-2.44%-294.49%-733.41%-147.11%-6.45%
Income Tax+04.51M-12.66M0-6.01M00000
Effective Tax Rate %1%1%0.91%1%1.05%1%1%1%1%1%
Net Income+-4.68M-141.43M-129.05M-120.55M130.13M-58.57M-87.76M-101.94M-177.12M-200.4M
Net Margin %-0.04%-1.7%-1.43%-1.91%0.4%-2.44%-294.49%-733.41%-147.11%-6.45%
Net Income Growth %0.95%-29.21%0.09%0.07%2.08%-1.45%-0.5%-0.16%-0.74%-0.13%
Net Income (Continuing)-4.68M-141.43M-122.99M-120.55M130.13M-58.57M-87.76M-101.94M-177.12M-200.4M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)+-0.05-1.36-1.23-1.141.11-0.63-0.61-0.62-0.80-0.63
EPS Growth %0.97%-29.09%0.1%0.07%1.97%-1.57%0.03%-0.02%-0.29%0.21%
EPS (Basic)-0.05-1.36-1.23-1.141.23-0.63-0.61-0.62-0.80-0.63
Diluted Shares Outstanding103.59M103.86M105.24M105.83M116.75M110.84M145.65M165.73M221.13M320.03M
Basic Shares Outstanding103.59M103.86M105.12M105.74M106.22M110.84M145.65M165.73M221.13M320.03M
Dividend Payout Ratio----------

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+532.4M357.87M322M173.32M337.75M157.72M88.92M140.87M176.55M246.19M
Cash & Short-Term Investments521.35M346.5M310.79M160.05M271.66M152.28M86.74M138.36M170.03M237.96M
Cash Only521.35M346.5M310.79M160.05M36.11M126.26M64.06M46.34M22.46M66.66M
Short-Term Investments0000235.55M26.01M22.68M92.01M147.56M171.3M
Accounts Receivable911K7.49M4.83M5.92M56.53M395K14K28K1.01M3.47M
Days Sales Outstanding2.5632.8119.534.2164.076.0117.1573.53306.1940.79
Inventory001.95M4.68M4.24M000381K231K
Days Inventory Outstanding--374.42685.75479.32---2.36136.88
Other Current Assets10.14M3.88M4.43M2.67M0002.48M5.13M4.53M
Total Non-Current Assets+122.43M117.75M114.54M110.81M79.96M46.07M47.99M53.43M52.88M52.23M
Property, Plant & Equipment21.23M19.39M17.69M15.87M14.05M295K3.44M8.48M7.51M7.32M
Fixed Asset Turnover6.12x4.30x5.11x3.98x22.93x81.34x0.09x0.02x0.16x4.25x
Goodwill44.54M44.54M44.54M44.54M44.54M44.54M44.54M44.54M44.54M44.54M
Intangible Assets53.36M53.36M51.88M50.12M19.72M00000
Long-Term Investments-413.61M-468.39M-4.88M-4.51M000000
Other Non-Current Assets3.31M461K429K285K1.66M1.23M0412K828K368K
Total Assets+654.83M475.63M436.54M284.14M417.71M203.79M136.91M194.3M229.43M298.42M
Asset Turnover0.20x0.18x0.21x0.22x0.77x0.12x0.00x0.00x0.01x0.10x
Asset Growth %0.39%-0.27%-0.08%-0.35%0.47%-0.51%-0.33%0.42%0.18%0.3%
Total Current Liabilities+123M164.64M124.13M36.75M65.34M46.81M22.12M23.17M31.55M45.25M
Accounts Payable19.73M52.88M38.76M12.05M12.18M5.47M9.15M10.39M14.39M14.8M
Days Payables Outstanding75.64117.77.45K1.77K1.38K1.03K60.6972.2589.068.77K
Short-Term Debt1.98M16.28M14.09M1.11M11.01M11.65M0000
Deferred Revenue (Current)1000K1000K1000K1000K000000
Other Current Liabilities00252K-1.06M9.64M6.2M5.71M3.66M9.59M14.71M
Current Ratio4.33x2.17x2.59x4.72x5.17x3.37x4.02x6.08x5.60x5.44x
Quick Ratio4.33x2.17x2.58x4.59x5.10x3.37x4.02x6.08x5.58x5.44x
Cash Conversion Cycle---7.06K-1.05K-832.34---219.49-8.59K
Total Non-Current Liabilities+245.99M153.58M260.31M273.79M235.27M611K1.19M54M104.77M107.22M
Long-Term Debt100.96M85.17M231.58M243.89M234.17M0048.58M99.51M100.3M
Capital Lease Obligations00001.1M611K1.19M5.42M5.26M6.92M
Deferred Tax Liabilities18.68M18.68M6.01M6.01M000000
Other Non-Current Liabilities14.37M805K292K238K000000
Total Liabilities368.98M318.22M384.44M310.54M300.61M47.42M23.31M77.17M136.32M152.47M
Total Debt+105.81M101.45M245.67M245M246.84M12.81M2.28M55.29M106.06M108.4M
Net Debt-415.54M-245.06M-65.12M84.95M210.73M-113.45M-61.79M8.95M83.6M41.74M
Debt / Equity0.37x0.64x4.72x-2.11x0.08x0.02x0.47x1.14x0.74x
Debt / EBITDA48.20x---1.70x-----
Net Debt / EBITDA-189.31x---1.45x-----
Interest Coverage0.22x-20.89x-19.57x-4.97x6.84x-3.29x-108.59x-36.24x-13.11x-12.65x
Total Equity+285.85M157.4M52.1M-1.47B117.1M156.37M113.59M117.12M93.11M145.95M
Equity Growth %0.01%-0.45%-0.67%-29.24%1.08%0.34%-0.27%0.03%-0.21%0.57%
Book Value per Share2.761.520.50-13.911.001.410.780.710.420.46
Total Shareholders' Equity285.85M157.4M52.1M-1.47B117.1M156.37M113.59M117.12M93.11M145.95M
Common Stock104K105K106K106K106K142K150K189K245K363K
Retained Earnings-1.11B-1.25B-1.38B-1.47B-1.34B-1.4B-1.49B-1.59B-1.77B-1.97B
Treasury Stock-2.75M-3.37M-1.9M-2.88M-3.82M-4.84M-7.52M-2.06M-2.88M-4.62M
Accumulated OCI-219K-195K-222K-12K84K-6K-10K-428K31K119K
Minority Interest0000000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+184.78M-175.63M-185.39M-148.61M113.81M-142.97M-87.02M-88.85M-161.9M-178.78M
Operating CF Margin %1.42%-2.11%-2.05%-2.35%0.35%-5.96%-292%-639.22%-134.47%-5.75%
Operating CF Growth %3.44%-1.95%-0.06%0.2%1.77%-2.26%0.39%-0.02%-0.82%-0.1%
Net Income-4.68M-141.43M-129.05M-120.55M130.13M-58.57M-87.76M-101.94M-177.12M-200.4M
Depreciation & Amortization727K2.06M3.4M3.68M3.65M2.93M292K427K554K534K
Stock-Based Compensation6.84M7.45M9.47M11.7M14.22M13.27M10.58M11.52M14.34M13.5M
Deferred Taxes3.55M16K-12.66M0-6.01M-110K49K000
Other Non-Cash Items6.45M-176K2.7M1.34M30.1M-131.57M54K744K-2.33M-6.65M
Working Capital Changes171.89M-43.55M-59.26M-44.77M-58.29M31.08M-10.23M402K2.66M14.24M
Change in Receivables124K-4.08M166K-1.1M-50.61M53.23M381K-14K-982K-2.46M
Change in Inventory-5.79M6.23M-1.95M-2.73M437K345K00-381K150K
Change in Payables6.2M27.65M-7.17M-18.86M20.1M-20.97M-14.16M76K6.45M14.8M
Cash from Investing+-117.02M18.25M50.52M169.58M-155.85M380.76M2.11M-71.08M-49.94M-15.38M
Capital Expenditures-910K-231K-228K-95K-70K-87K-1.22M-1.33M-470K-1.03M
CapEx % of Revenue0.01%0%0%0%0%0%4.1%9.54%0.39%0.03%
Acquisitions----------
Investments----------
Other Investing335K18.48M50.75M169.67M-155.78M160.38M3.33M-69.75M09.3M
Cash from Financing+-2.03M987K149.93M-2.24M-2.23M-147.64M22.71M142.21M187.96M238.35M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid0000000000
Share Repurchases----------
Other Financing70K000069.97M094.2M0-1.24M
Net Change in Cash----------
Free Cash Flow+183.87M-175.86M-185.62M-148.7M113.74M-143.06M-88.24M-90.18M-162.37M-179.81M
FCF Margin %1.41%-2.11%-2.05%-2.35%0.35%-5.96%-296.1%-648.76%-134.86%-5.79%
FCF Growth %3.43%-1.96%-0.06%0.2%1.76%-2.26%0.38%-0.02%-0.8%-0.11%
FCF per Share1.77-1.69-1.76-1.410.97-1.29-0.61-0.54-0.73-0.56
FCF Conversion (FCF/Net Income)-39.47x1.24x1.44x1.23x0.87x2.44x0.99x0.87x0.91x0.89x
Interest Paid0000000000
Taxes Paid0000000000

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-1.64%-63.81%-123.2%-111.13%-42.84%-65.01%-88.37%-168.5%-167.66%
Return on Invested Capital (ROIC)----32.36%-19.34%-137.91%-84.97%-85.09%-81.14%
Gross Margin26.79%-96.76%97.9%96.06%99%91.96%-18371.81%-37681.29%-4798.01%98.02%
Net Margin-3.6%-169.71%-142.86%-190.71%40.4%-244.11%-29448.99%-73341.01%-14710.88%-644.78%
Debt / Equity0.37x0.64x4.72x-2.11x0.08x0.02x0.47x1.14x0.74x
Interest Coverage0.22x-20.89x-19.57x-4.97x6.84x-3.29x-108.59x-36.24x-13.11x-12.65x
FCF Conversion-39.47x1.24x1.44x1.23x0.87x2.44x0.99x0.87x0.91x0.89x
Revenue Growth468.89%-35.9%8.4%-30.03%409.54%-92.55%-98.76%-53.36%766.19%2481.48%

Revenue by Segment

2024
Reportable31.08M
Reportable Growth-

Frequently Asked Questions

Growth & Financials

Lexicon Pharmaceuticals, Inc. (LXRX) reported $70.9M in revenue for fiscal year 2024. This represents a 3733% increase from $1.8M in 2011.

Lexicon Pharmaceuticals, Inc. (LXRX) grew revenue by 2481.5% over the past year. This is strong growth.

Lexicon Pharmaceuticals, Inc. (LXRX) reported a net loss of $68.6M for fiscal year 2024.

Dividend & Returns

Lexicon Pharmaceuticals, Inc. (LXRX) has a return on equity (ROE) of -167.7%. Negative ROE indicates the company is unprofitable.

Lexicon Pharmaceuticals, Inc. (LXRX) had negative free cash flow of $48.8M in fiscal year 2024, likely due to heavy capital investments.

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