Baxter Financial Ratios for Analysis 2009-2024 | BAX

Fifteen years of historical annual and quarterly financial ratios and margins for Baxter (BAX).

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
1.481.692.092.522.322.122.572.402.051.681.941.951.781.981.85
0.570.720.650.400.380.310.280.250.310.470.490.440.410.390.32
1.632.821.940.710.680.440.390.340.731.111.080.850.760.650.56
33.5934.9238.8639.3041.9042.8842.2740.5041.5942.7444.2251.1950.7246.3951.94
2.63-15.4611.1113.8415.6014.2712.177.334.506.125.2719.8821.2016.6322.90
2.63-15.4611.1113.8415.6014.2712.177.334.506.125.2719.8821.2016.6322.90
11.6815.8118.2521.0422.8121.2219.2615.2012.1213.5112.0224.9926.0321.9727.98
-0.70-18.279.1911.078.5414.5710.3948.754.294.573.9820.3620.2214.7221.76
17.93-16.7710.579.448.8113.935.6948.859.7123.3021.3716.6916.0111.0617.55
0.520.510.360.580.620.710.620.650.480.410.370.680.730.730.72
3.483.523.033.703.993.804.144.233.633.891.502.432.612.902.36
5.515.644.625.825.996.035.906.015.765.693.235.755.745.675.46
66.2864.6979.0062.7660.9160.5161.8360.7363.3864.1511363.5163.5864.3766.89
-0.81-45.0211.3312.7212.7819.736.6859.984.435.603.7132.7233.0421.0029.85
1.6736.11-12.1428.9229.6444.9313.121098.1412.6615.8562.3461.2233.3343.59
-0.24-9.383.085.545.569.873.5631.941.871.751.2511.2011.838.1612.76
-0.35-12.563.937.657.9513.684.8244.903.072.951.9018.1819.4912.7920.40
16.6811.6918.1817.2815.6315.3316.8415.3416.1915.0415.6312.7812.1711.7012.35
3.412.404.373.614.053.693.093.003.235.885.835.594.925.064.74
2.041.173.012.242.712.491.981.701.574.194.543.503.243.433.09

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
1.401.481.481.941.421.701.692.112.012.102.092.372.392.472.522.642.972.742.322.762.781.832.122.602.622.632.572.803.012.722.402.531.832.102.051.862.301.601.681.611.641.661.941.922.701.841.952.041.651.671.781.921.942.001.981.941.811.871.852.332.082.14
0.580.570.570.630.720.720.720.740.650.650.650.380.400.400.400.400.430.440.380.400.400.310.310.280.280.280.280.270.270.240.250.250.200.190.310.330.600.510.470.480.460.460.490.530.540.420.440.440.400.390.410.380.380.380.390.390.400.380.320.360.350.37
1.671.671.632.022.932.772.822.951.871.881.940.680.720.720.710.750.780.850.680.670.660.550.440.380.390.390.390.370.380.320.340.330.370.370.730.861.771.371.111.101.021.001.081.171.240.840.850.830.800.750.760.630.610.630.650.720.780.710.560.570.570.63
37.5438.6137.8930.1229.9736.2936.2128.9638.1536.3635.5040.9539.8038.8737.4440.2138.1941.5142.7143.1440.6840.9441.6544.6243.6041.6141.7641.7443.4542.1841.8941.8737.6040.6341.1841.5841.2542.4143.2844.0447.4049.1446.1851.3752.8550.9349.6752.0652.4150.5949.1150.9151.8951.0046.2651.4651.2835.6350.9251.8952.4552.69
-5.045.218.47-1.38-0.463.675.84-79.807.354.400.8015.9013.6913.2412.7615.8112.1814.6017.6417.6412.3514.5213.6913.8413.5116.1410.3011.0813.3214.2611.467.272.637.926.843.703.523.836.858.0115.8617.4612.6317.6322.5720.7414.9522.3521.7520.4517.3921.4123.5022.6914.9524.2621.854.5421.1223.2823.9223.55
-5.045.218.47-1.38-0.463.675.84-79.807.354.400.8015.9013.6913.2412.7615.8112.1814.6017.6417.6412.3514.5213.6913.8413.5116.1410.3011.0813.3214.2611.467.272.637.926.843.703.523.836.858.0115.8617.4612.6317.6322.5720.7414.9522.3521.7520.4517.3921.4123.5022.6914.9524.2621.854.5421.1223.2823.9223.55
--------------------------------------------------------------
-6.743.236.13-4.64-4.940.402.28-84.376.092.54-2.7113.9812.6511.916.6013.9610.6313.49-7.3416.8711.5014.6314.3013.4714.2216.366.2910.7111.7513.2510.555.0047.121407.88-1.334.366.163.917.4614.4916.9712.1217.9020.2520.1014.9522.0322.8721.6115.2520.9022.7122.2613.3519.8820.983.8320.6120.9223.1822.56
-8.241.036.3167.64-3.801.255.03-81.387.011.928.2813.959.6210.125.2811.989.0511.85-0.7612.9411.0412.9610.5018.7612.0714.53-6.659.2710.1710.999.195.0846.891427.880.0413.4117.8934.1717.2812.5214.457.5414.6616.0816.0114.1216.7718.5117.3612.8816.5617.3917.3612.0916.2816.75-2.1516.4816.8518.8018.27
0.140.130.140.120.130.120.130.130.110.110.090.160.160.150.160.150.140.150.170.160.160.160.180.160.170.160.160.150.150.160.170.160.160.140.120.120.080.100.110.110.160.150.170.150.150.170.170.180.190.180.190.200.200.190.200.180.190.170.200.190.200.19
0.800.740.850.900.900.770.860.960.830.930.760.940.900.891.040.890.880.971.050.950.960.890.990.890.990.991.101.020.970.971.070.951.010.840.950.860.380.401.000.410.570.520.660.500.560.570.630.590.620.610.700.650.640.640.790.630.650.760.670.580.600.55
1.441.421.441.481.491.381.401.411.451.501.091.561.531.541.591.491.441.481.601.571.501.461.531.511.591.481.561.551.511.501.561.471.431.301.501.400.870.921.480.951.431.421.481.341.571.491.441.501.611.451.491.481.421.371.541.461.541.301.511.411.461.46
62.3163.1762.3260.9760.5765.2564.3563.7261.9359.9982.2757.8658.7158.5056.7860.6062.3860.7756.1557.2659.8661.4858.7459.5256.4660.7557.6958.1259.4659.8557.5461.1863.1269.3559.8564.1310497.3460.8094.4263.1363.3460.6267.1057.4560.5362.3860.1656.0662.1960.6060.7263.4065.7558.2861.5558.3869.3159.7163.7961.4761.83
-4.030.470.860.62-3.43-1.34-53.612.080.80-0.225.133.533.531.964.173.034.31-0.244.923.994.463.845.683.874.28-1.932.622.883.152.901.4714.2437.552.140.030.921.841.562.085.395.834.826.828.077.886.468.1110.008.446.918.048.688.286.277.758.75-0.907.767.288.708.41
7.71-0.95-1.77-1.142.66--1.0737.45-2.26-0.870.2411.778.668.784.469.377.2811.06-0.5611.018.8610.378.7410.957.698.69-3.794.994.975.515.252.6426.3668.653.930.053.458.783.527.8721.9523.0720.5841.1215.6716.4112.3215.2420.2916.5212.8113.2514.3813.089.9512.4214.69-1.4611.3310.7813.0712.59
-1.180.140.260.17-0.69-0.28-10.700.580.22-0.062.281.531.540.851.791.271.75-0.102.171.782.091.923.072.072.30-1.031.411.561.741.540.807.5819.520.910.010.250.540.490.681.832.011.622.092.482.722.212.943.583.132.473.243.553.312.442.983.26-0.353.323.143.743.46
-1.710.200.370.23-0.97-0.37-13.760.730.28-0.083.172.112.121.182.501.742.43-0.152.962.413.082.664.112.773.08-1.391.912.092.382.171.1011.4330.551.490.020.370.900.821.082.893.132.463.223.704.543.594.555.995.174.084.975.415.103.824.715.24-0.565.304.655.685.27
15.1116.1616.6816.1011.1211.7411.6911.0717.6718.1118.1817.6117.0816.8917.2816.8415.9915.2015.6314.9915.3615.0415.3317.0916.5816.9516.8417.3716.8315.9815.3415.9315.6916.3616.1914.3514.7113.4015.0415.5416.0416.0315.6314.2613.4812.9012.7813.1112.0712.5612.1712.7712.7812.2011.7011.6310.5011.1412.3512.1211.2310.13
0.550.323.412.351.640.952.401.530.950.414.373.021.680.743.612.231.250.534.052.451.110.253.692.401.560.813.092.381.290.343.001.710.74-0.603.221.911.440.185.883.792.111.025.843.852.090.705.593.912.560.794.923.371.740.645.063.521.780.464.743.141.710.38
-0.03-0.032.041.360.990.621.170.660.400.133.012.021.030.402.241.320.640.192.711.480.45-0.122.491.570.990.531.981.640.790.121.700.770.10-0.941.560.710.67-0.224.192.650.570.254.551.960.930.173.502.531.650.373.242.251.030.303.432.331.000.083.092.111.080.11