Amedisys Financial Ratios for Analysis 2009-2024 | AMED

Fifteen years of historical annual and quarterly financial ratios and margins for Amedisys (AMED).

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
1.051.090.950.791.071.011.451.191.000.840.661.001.051.360.95
0.240.270.310.200.270.010.130.160.180.210.080.130.180.140.19
0.380.420.460.270.380.020.170.200.240.290.130.230.280.210.29
44.3143.3144.6343.7141.1840.2840.2241.2143.3142.6342.5343.7347.1050.4152.46
6.998.1311.3110.419.079.335.204.04-0.722.00-12.40-7.56-33.0813.2016.04
6.998.1311.3110.419.079.335.204.04-0.722.00-12.40-7.56-33.0813.2016.04
9.6211.3714.5513.6811.9010.186.385.480.924.42-9.366.5810.7115.4618.05
1.777.2112.5810.018.719.565.354.34-0.021.74-12.28-8.00-33.6312.6915.45
-0.445.349.398.726.497.182.012.63-0.241.06-7.70-5.80-26.967.039.15
1.091.131.201.341.552.321.861.931.881.801.721.971.651.231.27
---------------
7.147.498.108.258.238.807.518.5510.2412.1311.248.529.5811.319.88
51.1548.7345.0644.2244.3541.4948.5942.7135.6330.1032.4742.8638.1032.2736.95
-0.9810.6421.5322.8419.9424.895.948.16-0.563.35-25.42-20.97-71.9614.1019.08
4.81-41.74-63.50-94.42-156.4911020.4030.00-2.218.37-74.64-48.21-276.47355-129.85
-0.535.9611.3211.8210.1316.753.775.13-0.341.99-13.04-13.04-43.619.5411.98
-0.747.7114.9218.2414.6424.605.166.86-0.462.65-23.36-18.28-59.2512.1115.49
34.2834.0430.0324.7119.8715.0915.2013.7312.2111.8411.4514.6117.5530.0926.12
4.214.085.738.696.126.653.081.853.26-2.003.272.324.927.248.92
4.043.905.548.535.906.482.801.393.22-2.371.990.743.415.097.65

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
1.191.161.091.051.000.921.151.091.060.921.030.950.950.870.830.790.941.021.481.070.950.880.911.011.061.211.631.451.331.211.321.191.060.950.881.001.260.960.890.840.750.790.630.660.710.950.901.001.010.960.941.050.980.951.401.361.291.221.090.950.860.801.01
0.050.230.240.050.250.260.250.270.290.300.300.310.310.170.230.200.280.350.360.270.280.320.370.010.110.230.120.130.140.140.150.160.170.170.180.180.200.180.190.210.210.260.080.080.090.080.090.130.110.110.110.180.190.120.130.140.150.160.170.190.210.230.31
0.080.330.340.090.370.380.350.420.430.440.430.460.470.220.310.270.410.560.580.380.400.490.590.020.130.300.160.170.180.190.190.200.210.220.270.240.250.250.270.290.300.390.120.130.190.160.170.230.210.240.260.280.300.180.190.210.230.250.260.290.330.380.52
42.5644.7043.7343.6943.9846.2143.3843.5742.2543.3244.1043.2943.9445.7345.5544.9845.7741.8741.8940.9641.6341.0241.1039.6340.1641.0740.3139.8839.1841.1840.6838.5541.3442.7642.1443.1142.7944.0743.3142.9843.3343.4440.7540.9141.8443.7443.5043.7743.1944.2043.7746.4445.4248.5847.8751.7249.0250.4550.5952.5752.7152.7851.72
5.168.835.535.967.596.837.628.236.988.548.808.6110.2613.7412.6111.1511.539.838.928.309.479.089.488.399.5610.419.027.476.250.066.903.903.975.093.174.935.124.94-19.274.935.414.12-6.55-3.41-51.191.351.63-44.384.224.233.364.84-149.8510.878.3815.569.1613.2914.9818.8415.6415.7613.73
5.168.835.535.967.596.837.628.236.988.548.808.6110.2613.7412.6111.1511.539.838.928.309.479.089.488.399.5610.419.027.476.250.066.903.903.975.093.174.935.124.94-19.274.935.414.12-6.55-3.41-51.191.351.63-44.384.224.233.364.84-149.8510.878.3815.569.1613.2914.9818.8415.6415.7613.73
---------------------------------------------------------------
4.938.334.765.126.82-11.256.247.356.247.238.028.3810.1119.1912.5011.1311.338.908.427.868.949.009.088.429.9110.729.247.316.430.686.894.195.035.013.076.694.615.87-18.714.834.654.05-6.64-4.47-49.111.061.43-44.903.783.763.004.32-150.4010.317.8014.988.8312.5614.6218.1715.2115.2412.97
2.885.462.523.394.67-14.524.545.644.605.305.816.098.1314.099.148.1013.116.836.475.526.906.846.706.327.528.106.80-0.973.901.194.152.563.162.971.783.822.593.39-11.613.042.812.50-4.16-3.17-30.230.580.82-31.182.722.171.461.35-114.435.884.256.125.357.628.8710.049.269.287.90
0.270.280.270.280.270.280.290.280.280.280.290.300.290.360.350.360.340.310.340.400.410.410.390.610.570.550.470.490.470.470.480.470.500.510.490.500.490.490.480.450.440.430.410.420.400.450.460.470.420.420.430.370.440.270.270.280.320.330.340.320.340.350.31
---------------------------------------------------------------
1.951.661.591.821.741.981.891.891.841.831.862.032.022.041.982.192.192.041.832.111.942.061.982.302.142.082.071.982.112.162.112.102.232.372.272.712.682.842.733.032.922.752.592.732.712.532.272.032.232.232.292.162.452.402.532.552.972.782.742.502.752.452.21
46.1054.3356.6049.4151.7145.3747.5847.5248.7949.2748.4644.2444.6544.0245.4541.1941.1244.1349.1642.7146.3443.7645.5339.1542.0643.2043.4945.5042.7241.6242.6242.9340.4537.9739.7033.2533.5631.6433.0229.7530.8332.7334.7532.9633.2035.5439.6244.4440.3840.4539.2841.5936.7537.4435.5535.2830.3532.3632.8135.9332.6936.7440.64
1.382.761.281.702.34-7.592.202.852.382.793.113.484.779.206.375.629.564.874.714.365.696.056.065.747.088.204.97-0.722.860.923.151.952.582.531.543.182.182.86-9.482.352.242.05-3.37-2.29-24.100.430.62-26.461.821.481.231.53-82.472.471.883.762.573.914.705.755.255.464.52
-11.47-19.55-7.16-8.36-10.0527.88-11.79-11.19-7.95-8.14-10.92-10.28-12.66-63.32-23.57-23.24-28.08-11.85-29.36-34.22-27.80-20.78-16.5225.4340.9583.7915.01-2.469.483.3810.567.1510.0410.877.6912.485.737.70-27.075.875.995.79-10.22-6.71-71.500.941.39-60.836.845.374.465.88-340.74-67.6928.0594.641,141-158.49-57.79-39.10-26.42-21.45-14.31
0.771.540.700.921.26-4.061.281.601.281.451.661.832.345.043.202.914.522.142.232.212.832.822.673.874.354.453.24-0.461.830.562.011.221.591.520.891.921.291.68-5.591.391.261.07-1.68-1.17-12.070.290.40-16.451.190.930.760.93-49.861.711.282.541.732.553.013.613.193.242.49
1.312.130.971.611.75-5.631.652.071.681.962.192.413.277.644.934.496.843.153.023.204.114.103.835.686.316.294.37-0.622.470.792.671.632.152.101.262.601.752.35-7.671.861.771.51-3.11-2.10-22.000.400.57-23.061.631.311.091.26-66.842.171.633.232.183.273.894.664.164.183.12
36.6536.0134.9734.2833.5132.5334.8334.0432.9332.0431.3430.0329.1126.8924.2424.7123.1022.2621.0119.8718.7117.5216.2715.0913.9812.8616.1415.2015.1314.5714.3313.7313.3012.7712.3212.2111.7011.2910.9211.8411.4911.1811.1311.4511.6614.4814.7114.6118.0817.2817.2517.5517.0531.1130.7130.0929.9528.7827.5926.1224.5723.1921.91
4.571.38-0.204.212.342.660.804.082.833.241.485.735.583.701.638.696.714.200.186.123.842.410.616.654.882.661.173.082.141.850.801.851.000.800.373.262.611.700.44-2.00-2.13-2.93-0.203.272.982.101.042.321.771.070.374.923.632.641.827.246.064.392.508.927.844.732.00
4.401.26-0.284.042.232.580.753.902.703.161.465.545.443.611.588.536.624.160.145.903.652.330.586.484.712.611.122.801.881.630.671.390.600.510.173.222.071.240.38-2.37-2.43-3.21-0.371.992.071.480.720.740.740.420.033.412.311.771.285.094.823.632.157.656.954.221.74