AMN Healthcare Services Inc Financial Ratios for Analysis 2009-2024 | AMN

Fifteen years of historical annual and quarterly financial ratios and margins for AMN Healthcare Services Inc (AMN).

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
1.281.271.391.261.481.571.791.641.501.591.631.861.521.522.18
0.610.450.420.510.460.410.360.440.340.350.410.460.520.520.37
1.570.810.721.050.840.690.570.810.630.630.730.871.291.210.62
32.9832.7432.8733.0833.4632.6032.4132.5832.0830.5129.3828.3528.0927.5226.90
8.9312.3412.006.247.969.5010.6810.078.816.556.475.594.24-6.53-20.22
8.9312.3412.006.247.969.5010.6810.078.816.556.475.594.24-6.53-20.22
13.1814.9614.6010.1710.5811.4212.3011.6310.248.107.817.086.09-4.28-18.40
7.5011.5711.143.826.688.749.699.268.285.665.522.861.57-9.48-21.79
5.568.478.222.955.136.646.675.565.603.213.251.66-2.96-7.76-16.08
1.301.821.271.021.151.431.591.601.661.521.671.841.661.191.95
---------------
5.115.553.875.325.225.135.084.864.454.836.105.935.254.528.14
71.4065.7494.2568.6369.8871.0971.8775.0782.0375.6559.7961.5969.5780.8044.87
25.3442.5528.178.6215.4722.1823.5623.5523.5412.9515.128.963.70-34.38-71.51
-27.93-120.48-133.75-11.59-44.30-112.79-2,566.48-76.64-256.80-66.01-42.72-20.88-4.6838.25502
7.2015.3710.453.005.909.5010.578.929.304.885.453.150.94-9.38-31.41
9.8623.5316.334.218.4213.1315.0213.0915.488.478.994.791.50-13.79-45.09
21.9924.9224.5917.4215.7713.7011.859.447.295.504.733.993.954.645.24
9.4614.576.365.394.724.663.252.721.150.581.261.250.420.233.03
6.8212.885.244.593.983.942.712.270.600.181.071.130.320.112.91

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.231.271.281.181.201.331.271.351.241.291.391.401.361.391.261.331.351.611.481.471.551.471.571.581.651.951.791.811.661.701.641.811.471.421.501.481.481.551.591.691.691.621.631.961.891.901.861.681.691.911.521.531.521.501.521.491.992.012.181.881.881.98
0.580.600.610.530.570.510.450.430.450.440.420.450.470.500.510.530.550.590.460.460.490.420.410.430.440.350.360.380.390.430.440.470.470.460.340.350.400.430.350.360.380.390.410.420.430.450.460.480.510.540.520.540.510.510.520.530.350.360.370.280.310.37
1.361.491.571.151.351.030.810.740.810.780.720.810.871.001.051.121.241.460.840.870.980.720.690.770.770.530.570.600.660.760.810.891.021.000.630.660.790.880.630.600.660.710.730.710.780.830.871.001.171.181.291.341.191.181.211.210.590.600.620.450.540.72
31.0331.3731.8933.9233.3232.7533.3433.8232.2631.9631.8634.8432.7232.6132.8833.4732.4733.5433.5933.4833.5533.2032.6233.2432.4232.1231.8432.2732.8732.6732.5132.6832.6732.4632.7432.9131.4530.9730.2930.3530.7530.7029.8429.4329.3028.9628.5028.5328.4027.9228.2727.8027.2829.0527.2827.4027.5827.9528.4427.4226.9525.63
5.094.874.1810.199.2511.1610.6011.9812.8713.3912.3712.0611.5711.784.548.426.315.938.007.008.448.469.498.099.8210.5710.4510.2811.5110.5110.209.8810.1110.119.029.828.617.576.786.017.016.426.446.516.556.395.695.655.565.454.494.483.584.410.01-29.502.293.353.70-0.615.14-67.38
5.094.874.1810.199.2511.1610.6011.9812.8713.3912.3712.0611.5711.784.548.426.315.938.007.008.448.469.498.099.8210.5710.4510.2811.5110.5110.209.8810.1110.119.029.828.617.576.786.017.016.426.446.516.556.395.695.655.565.454.494.483.584.410.01-29.502.293.353.70-0.615.14-67.38
--------------------------------------------------------------
2.972.841.718.838.0210.259.5511.1912.1612.7811.6511.4610.3910.770.956.154.434.106.495.627.307.409.537.218.689.549.519.3010.509.478.899.249.529.418.539.308.057.026.305.475.165.665.715.805.315.264.404.13-0.203.011.961.421.051.85-2.85-34.490.561.51-0.01-1.853.98-68.27
2.192.111.536.236.147.477.278.128.689.408.538.437.797.941.474.733.672.154.684.145.396.416.745.306.378.178.095.696.386.465.405.785.565.535.018.794.533.733.543.212.873.173.363.353.313.002.742.17-0.031.69-0.88-11.790.320.92-0.67-29.240.090.54-1.88-1.202.20-48.81
0.270.290.280.320.370.390.390.380.470.480.440.320.330.340.270.240.260.240.300.310.290.330.350.350.380.410.410.420.410.410.410.400.400.430.460.440.420.410.410.420.410.410.410.470.480.470.480.480.450.430.410.430.390.380.360.310.370.360.370.440.490.57
--------------------------------------------------------------
1.261.211.101.151.331.171.191.161.391.221.321.231.431.261.401.351.431.331.381.361.281.271.271.281.431.381.301.301.321.291.251.271.261.331.221.281.311.281.301.431.441.421.501.571.531.431.541.491.461.341.311.401.411.381.361.201.501.561.551.691.721.63
71.7274.1381.5278.2167.9377.0675.5277.3864.9273.6267.9372.9762.8471.1664.1766.7462.8867.5965.2466.2070.5471.1470.8370.2762.8065.0569.2269.3268.2169.7372.1771.0971.6667.7373.5170.1268.6170.1369.1063.1562.4263.3459.9957.3458.6662.8658.4660.4761.7067.0068.5664.2963.9265.3666.4075.2760.1257.6758.0953.3052.4155.11
1.852.031.506.517.958.807.848.1611.9113.5110.007.106.917.871.143.232.871.733.733.344.245.255.574.545.767.127.325.296.156.715.866.306.536.925.8010.395.514.513.863.463.083.393.844.144.243.953.893.89-0.062.461.240.740.391.09-1.55-33.410.080.45-1.59-1.162.55-73.78
-2.45-2.44-1.66-10.06-10.12-19.38-22.19-30.60-30.04-47.68-47.48-19.42-14.12-13.51-1.53-4.05-3.22-1.75-10.68-8.34-9.09-24.13-28.34-17.85-21.94119-797.04-69.99-45.57-30.52-19.08-17.12-13.49-14.88-63.23-61.37-18.41-11.48-19.66-19.31-12.46-11.16-10.84-18.26-14.21-11.26-9.07-6.610.08-3.44-1.57-0.82-0.47-1.291.7236.86-0.77-3.8911.178.02-16.70362
0.590.600.432.002.302.922.833.064.114.493.712.732.542.660.401.110.940.531.421.261.562.082.391.872.413.353.282.362.632.642.222.332.232.362.293.891.921.531.451.351.181.281.381.581.591.421.371.15-0.020.660.310.190.110.30-0.42-9.130.030.20-0.70-0.531.09-27.68
0.790.820.583.033.384.344.334.686.587.595.803.933.693.930.551.531.290.712.031.792.153.043.302.573.254.644.673.303.783.833.263.353.453.713.816.723.332.592.522.211.922.082.282.412.422.162.081.77-0.020.970.500.290.160.45-0.62-13.250.050.29-1.00-0.841.76-46.26
23.0822.5221.9921.6320.1723.7524.9226.1424.0223.9524.5922.0520.4518.9517.4217.1816.5515.9815.7715.1014.5813.9513.7013.1012.9912.5311.8511.1410.619.969.449.028.397.797.296.796.055.715.505.265.024.854.734.534.314.173.994.214.064.053.953.974.684.704.644.665.345.335.245.265.255.07
4.732.139.4610.786.131.0414.5712.239.494.246.364.734.390.825.394.552.701.084.723.071.380.764.663.462.571.223.252.061.420.902.721.721.120.721.151.140.690.180.580.470.150.021.260.930.36-0.051.250.900.750.210.420.280.170.120.230.090.540.353.032.852.251.15
3.541.666.828.865.010.6212.8811.068.803.955.243.923.910.574.593.982.280.793.982.551.050.603.942.972.241.102.711.721.180.792.271.360.860.580.600.700.390.050.180.17-0.06-0.101.070.790.25-0.091.130.820.690.190.320.200.120.080.110.020.510.332.912.762.171.12