Insight Molecular Diagnostics Inc Asset Turnover Ratio (IMDX), as of second quarter 2026, current and historic results, rankings and more - CSIMarket
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Insight Molecular Diagnostics Inc   (NASDAQ: IMDX)
 

Insight Molecular Diagnostics Inc Asset Turnover Ratio

Quarterly Results, Trends, Rankings, Statistics

Insight Molecular Diagnostics Inc 's asset turnover ratio has remained unchanged compare to previous quarter at 0.05 in the second quarter (Jun 30 2026)

Within sector 11 more businesses have achieved higher asset turnover ratio. While asset turnover ranking remained unchanged in the Second Quarter 2026 compared to previous quarter at no. 2959.

Asset Turnover Ratio Definition



IMDX Asset Turnover Ratio (Jun 30 2026)
II. Quarter
(Mar 31 2026)
I. Quarter
(Dec 31 2025)
IV. Quarter
(Sep 30 2025)
III. Quarter
(Jun 30 2025)
II. Quarter
Y / Y Asset Change -41.72 % -33.02 % -26.58 % -37.43 % -32.39 %
Y / Y Revenue Change -53.86 % -98.5 % -23.35 % 126.09 % 398.08 %
Asset Turnover Ratio (TTM) 0.05 0.05 0.09 0.09 0.08
IMDX's Total Ranking # 2959 # 2959 # 3091 # 2979 #
Seq. Asset Change -27.17 % 56.96 % -41.38 % -13.03 % -16.31 %
Seq. Revenue Change 646.88 % -97.19 % 338.08 % -49.81 % -75.77 %



Asset Turnover Ratio Company Ranking
Within: No.
In Vitro & In Vivo Diagnostic Substances Industry # 12
Healthcare Sector # 443
Overall Market # 2959

Asset Turnover Ratio Statistics
High Average Low
7.36 3.29 0.95
(Dec 31 2020)   (Mar 31 2024)







Companies with similar Asset Turnover Ratio for the quarter ending Jun 30 2026, within Healthcare Sector Asset Turnover Ratio Revenues for 12 Months ending Jun 30 2026 Assets at quarter ending Jun 30 2026
Abeona Therapeutics Inc   0.15 $ 30.093  Millions$ 207.166  Millions
Standard Biotools Inc   0.14 $ 83.691  Millions$ 593.430  Millions
Femasys Inc   0.14 $ 2.299  Millions$ 16.450  Millions
Igc Pharma Inc   0.12 $ 1.101  Millions$ 9.293  Millions
China Pharma Holdings Inc  0.11 $ 3.914  Millions$ 34.164  Millions
Pmgc Holdings Inc   0.11 $ 2.579  Millions$ 22.601  Millions
Tonix Pharmaceuticals Holding Corp   0.11 $ 29.102  Millions$ 260.403  Millions
Beam Therapeutics Inc   0.11 $ 156.035  Millions$ 1,414.853  Millions
Scilex Holding Company  0.11 $ 31.608  Millions$ 297.014  Millions
Nektar Therapeutics  0.09 $ 54.589  Millions$ 610.038  Millions
Lipocine Inc   0.08 $ 1.569  Millions$ 20.568  Millions
Catheter Precision Inc   0.07 $ 1.915  Millions$ 28.322  Millions
Metagenomi Therapeutics Inc   0.06 $ 13.561  Millions$ 209.924  Millions
Nurix Therapeutics Inc   0.06 $ 36.766  Millions$ 595.569  Millions
Caribou Biosciences Inc   0.06 $ 10.035  Millions$ 165.531  Millions
Ispecimen inc   0.06 $ 0.466  Millions$ 8.133  Millions
Prophase Labs Inc   0.05 $ 3.150  Millions$ 60.428  Millions
Insight Molecular Diagnostics Inc   0.05 $ 1.670  Millions$ 34.891  Millions
Dar Bioscience Inc   0.05 $ 1.345  Millions$ 28.355  Millions
Nakamoto Inc   0.05 $ 28.962  Millions$ 616.576  Millions
Agape Atp Corporation  0.05 $ 1.152  Millions$ 24.729  Millions
Instil Bio Inc   0.04 $ 8.968  Millions$ 203.358  Millions
Camp4 Therapeutics Corporation  0.04 $ 4.216  Millions$ 100.772  Millions
Vistagen Therapeutics Inc   0.04 $ 2.501  Millions$ 62.393  Millions
Kyntra Bio Inc   0.04 $ 4.617  Millions$ 116.829  Millions
Blue Water Vaccines Inc  0.03 $ 0.646  Millions$ 18.966  Millions
Northwest Biotherapeutics Inc  0.03 $ 2.173  Millions$ 66.973  Millions
Tao Synergies Inc   0.03 $ 0.772  Millions$ 24.086  Millions
Atrium Therapeutics Inc   0.03 $ 35.974  Millions$ 1,166.283  Millions
Co diagnostics Inc   0.03 $ 0.721  Millions$ 26.893  Millions



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