Current Ratio: A liquidity ratio that measures a company's ability to pay short-term obligations. Calculated as: Total Current Assets / Total Current Liabilities
Catalyst Pharmaceuticals, Inc. (CPRX) had Current Ratio of 5.17 for the most recently reported fiscal year, ending 2024-12-31.
| Income Statement Financials | |
$491.73M  | 
								|
$163.89M  | 
								|
$68.84M  | 
								|
$422.89M  | 
								|
$296.61M  | 
								|
$195.12M  | 
								|
$21.14M  | 
								|
$216.26M  | 
								|
$216.26M  | 
								|
$163.89M  | 
								|
$163.89M  | 
								|
$163.89M  | 
								|
$163.89M  | 
								|
$195.12M  | 
								|
$232.90M  | 
								|
118.46M  | 
								|
124.94M  | 
								|
$1.38  | 
								|
$1.31  | 
								|
| Balance Sheet Financials | |
$623.61M  | 
								|
$1.35M  | 
								|
$227.80M  | 
								|
$851.41M  | 
								|
$120.68M  | 
								|
--  | 
								|
$3.10M  | 
								|
$123.78M  | 
								|
$727.63M  | 
								|
$570.96M  | 
								|
$727.63M  | 
								|
120.88M  | 
								|
| Cash Flow Statement Financials | |
$239.81M  | 
								|
$-0.56M  | 
								|
$140.66M  | 
								|
$137.64M  | 
								|
$517.55M  | 
								|
$379.92M  | 
								|
$22.25M  | 
								|
--  | 
								|
--  | 
								|
| Fundamental Metrics & Ratios | |
| 
										 Current Ratio  | 
									5.17  | 
								
--  | 
								|
--  | 
								|
--  | 
								|
--  | 
								|
86.00%  | 
								|
39.68%  | 
								|
39.68%  | 
								|
47.36%  | 
								|
43.98%  | 
								|
33.33%  | 
								|
$239.25M  | 
								|
--  | 
								|
--  | 
								|
--  | 
								|
0.58  | 
								|
3.52  | 
								|
7.51  | 
								|
48.60  | 
								|
22.52%  | 
								|
28.70%  | 
								|
19.25%  | 
								|
22.52%  | 
								|
$6.02  | 
								|
$1.91  | 
								|
$1.92  | 
								|