Addus HomeCare Financial Ratios for Analysis 2009-2024 | ADUS

Fifteen years of historical annual and quarterly financial ratios and margins for Addus HomeCare (ADUS).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.381.702.762.003.082.862.832.642.232.252.012.242.062.312.17
0.150.170.280.270.110.060.180.120.010.02-0.150.220.310.34
0.180.210.380.380.130.060.240.160.020.03-0.170.360.510.61
32.1031.5131.2129.5827.6326.4827.2026.5227.1126.7625.4726.2226.7225.9629.55
8.597.237.635.825.364.425.933.864.765.775.816.415.614.034.54
8.597.237.635.825.364.425.933.864.765.775.816.415.614.034.54
10.018.809.407.497.106.217.935.616.197.056.697.5414.205.876.66
7.686.336.995.485.113.954.944.034.545.565.635.775.502.721.93
5.914.845.224.333.893.182.813.033.453.917.203.13-0.862.62-0.69
1.031.010.910.861.021.481.571.741.811.731.621.631.491.381.61
---------------
9.177.586.315.774.335.264.553.433.964.584.333.433.183.243.64
39.8248.1657.8263.3184.2169.4680.1410792.0779.7084.21107115113100
8.857.267.866.395.436.076.707.658.019.359.809.849.734.964.47
-129.48-214.22801-150.9818.0314.9217.0217.2818.1622.4124.7724.7630.3741.2345.01
6.104.914.763.714.054.684.355.256.116.626.816.205.442.622.23
7.526.015.674.654.835.715.466.697.919.169.808.397.553.412.94
43.5539.2836.0332.7730.4520.4515.1613.6912.7611.6210.438.728.028.197.67
6.886.502.466.860.842.684.54-0.070.370.632.471.431.481.01-3.30
6.305.982.176.430.522.254.55-0.220.170.162.391.331.430.95-3.54

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.112.001.351.381.511.551.681.701.872.002.652.762.662.482.332.003.193.163.293.085.072.842.872.864.193.093.012.832.683.352.672.642.642.992.602.232.222.262.232.251.991.922.092.012.392.282.252.242.122.142.202.061.902.021.972.312.182.352.302.171.68--
--0.120.150.190.110.140.170.210.250.300.280.280.260.270.270.110.110.110.110.110.110.060.060.270.350.180.180.190.200.120.120.130.210.180.010.020.020.020.020.02------0.150.180.200.230.220.260.270.240.310.340.350.350.340.58--
--0.140.180.240.120.170.210.270.330.440.380.400.360.370.380.120.120.120.130.130.130.060.060.380.550.230.240.250.260.150.160.170.290.230.020.020.030.030.030.03------0.170.250.290.370.360.430.440.380.510.580.590.590.611.63--
31.8232.4731.4133.4432.0431.6631.1731.8831.2631.9130.9732.4030.9531.5829.8130.1629.0229.8029.3529.9126.7326.6526.5926.2926.7127.2325.5227.6126.7527.5326.8927.8126.5025.4626.2626.1827.8927.6026.7727.4126.7526.7426.0425.9025.5925.2725.0827.5025.6226.1525.515.0730.2829.4628.513.6328.8329.3829.1329.8229.4229.6029.33
8.969.128.4210.128.448.287.408.437.287.135.968.628.017.825.935.986.465.205.607.554.344.963.973.864.355.274.195.855.355.726.857.642.414.350.713.565.085.944.436.346.085.325.264.976.336.055.948.256.325.325.6382.26-18.533.943.001.804.004.874.171.206.065.875.06
8.969.128.4210.128.448.287.408.437.287.135.968.628.017.825.935.986.465.205.607.554.344.963.973.864.355.274.195.855.355.726.857.642.414.350.713.565.085.944.436.346.085.325.264.976.336.055.948.256.325.325.6382.26-18.533.943.001.804.004.874.171.206.065.875.06
---------------------------------------------------------------
9.428.557.599.177.477.506.467.406.296.345.197.937.287.265.355.556.154.905.307.294.294.573.683.103.314.245.485.164.633.746.279.831.923.700.253.284.895.744.226.115.855.135.044.756.375.845.617.735.654.624.9588.77-19.322.961.93-0.592.783.753.06-4.254.534.253.25
6.966.305.647.085.695.715.045.984.804.753.745.815.345.324.334.314.703.744.555.582.913.553.102.602.643.294.461.413.142.614.197.421.642.580.173.923.423.792.644.753.963.553.281.273.813.7021.055.872.942.421.079.74-9.601.951.285.402.122.462.10-5.681.401.210.36
0.250.260.280.270.260.280.270.260.250.250.230.240.230.250.230.220.280.280.300.300.270.360.370.400.320.380.400.410.410.400.430.450.450.420.400.460.430.460.450.460.470.470.440.430.430.420.420.430.400.400.380.170.440.400.420.170.400.400.390.410.46--
---------------------------------------------------------------
3.002.632.682.392.242.492.011.971.901.901.661.641.621.581.481.481.641.461.351.291.221.121.151.411.291.331.311.201.130.750.870.891.290.830.881.001.081.821.101.211.311.581.211.141.231.511.040.890.860.870.800.350.991.331.030.400.920.880.840.921.07--
30.0034.2533.5737.6140.2636.0944.8745.7247.2547.3154.3354.8755.5957.1160.8560.9155.0461.6366.7570.0373.5280.2478.0764.0369.7067.6968.8775.0079.8412010310169.9610810390.2183.6749.3681.7174.4268.4756.9874.1379.0272.9059.6886.6310110510311325490.6967.6387.3122497.6810310797.5784.21--
2.131.962.182.772.252.231.952.331.881.881.452.272.072.131.681.631.801.401.782.261.171.831.531.291.362.322.700.821.981.612.594.821.131.750.112.152.102.421.662.852.632.282.022.742.462.342.493.712.432.072.0014.91-8.181.470.96-0.141.711.981.66-2.21-205.30--
10.2110.67-55.66-40.55-21.27107-222.76-68.71-34.95-22.76-13.11232-186.73158-104.38-38.505.424.155.557.502.064.943.473.183.3817.146.862.075.313.345.5810.902.834.600.324.884.695.664.086.826.796.294.906.934.864.775.249.346.635.956.0546.53-30.099.273.40-1.1717.6713.2513.37-22.29-8.19--
1.751.621.561.911.491.601.361.571.221.170.861.381.251.301.010.951.311.051.341.690.891.291.131.000.841.261.790.531.271.051.783.310.741.070.071.641.481.731.182.011.851.651.451.911.771.661.782.341.441.221.138.33-4.260.780.53-0.070.850.980.82-1.111.44--
2.131.961.922.361.821.991.671.931.481.411.011.641.491.571.231.191.611.251.592.011.041.631.441.220.991.512.220.671.601.292.284.220.981.380.092.122.062.381.632.792.572.282.022.742.462.342.493.171.981.661.5311.57-6.061.070.73-0.101.131.291.07-1.462.42--
52.2650.9244.3043.5542.2141.1040.0439.2838.2137.3036.4636.0335.0734.1833.3232.7732.1231.5931.0930.4530.2121.8921.3720.4520.4515.9315.4715.1614.8114.4614.1513.6913.1212.9512.7912.7612.4012.1011.7811.6211.1910.8810.6410.4310.3410.129.908.728.388.208.098.027.568.398.278.198.057.977.817.6736.05--
5.813.482.366.885.053.711.156.504.993.870.372.460.89-0.21-1.146.864.593.201.290.840.57-0.30-0.242.681.961.701.224.543.66-0.980.83-0.072.71-1.60-0.530.370.783.13-0.080.630.681.350.242.472.273.111.201.430.870.53-0.121.481.102.701.061.010.480.080.15-3.300.34-0.92-0.96
5.573.342.286.304.793.601.115.984.823.780.302.170.69-0.32-1.216.434.242.901.110.520.35-0.45-0.312.251.691.561.194.553.60-0.920.94-0.222.61-1.67-0.560.170.663.06-0.140.160.250.990.112.392.223.071.181.330.770.46-0.151.431.072.691.060.950.430.040.14-3.540.27-0.97-1.12