Becton Dickinson Financial Ratios for Analysis 2009-2024 | BDX

Fifteen years of historical annual and quarterly financial ratios and margins for Becton Dickinson (BDX).

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
1.311.041.331.541.181.035.581.451.292.742.762.692.562.702.61
0.360.350.420.420.460.470.590.580.610.430.430.480.340.220.22
0.620.640.740.750.921.021.461.511.790.790.791.010.560.310.37
42.1744.9245.1242.2947.9445.4849.3347.9945.6650.9251.7951.2852.2051.8852.60
10.9012.1011.775.6710.189.4412.5911.4610.4519.0115.5820.2121.9522.2122.75
10.9012.1011.775.6710.189.4412.5911.4610.4519.0115.5820.2121.9522.2122.75
22.7123.9123.4218.8323.2121.8221.5820.3819.1125.6722.3626.8428.4729.1129.40
8.589.458.842.586.807.348.078.607.1918.0214.4619.1021.3321.9922.59
7.358.9510.464.776.260.998.527.826.7614.0316.0515.1816.7618.4917.63
0.370.360.360.300.330.300.320.490.390.680.660.680.730.740.75
3.423.223.833.383.493.563.373.782.852.772.773.032.912.992.86
7.648.618.146.707.376.896.937.726.357.126.506.176.175.915.98
47.7442.3844.8454.4549.5052.9652.6447.3157.4451.3056.2059.1959.1361.7561.05
5.936.476.781.485.851.488.5012.809.7023.4518.4326.8424.8720.5122.70
-15.82-14.04-12.36-2.58-7.14-1.63-216.54-16.10-9.4037.0029.9749.4039.5326.9828.37
2.903.092.980.652.380.582.923.822.629.527.659.7711.5111.5512.55
3.774.173.930.863.150.783.485.373.7513.4310.5514.0616.4216.0917.60
88.8389.2283.2381.9477.9578.2756.8035.7934.0026.3326.0021.0022.4823.6521.69
10.378.6014.1310.4012.1210.8311.4011.768.348.838.628.097.246.616.72
7.345.2110.047.688.647.448.158.585.465.535.675.454.594.003.90

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
1.851.411.081.311.251.311.071.041.351.531.231.331.231.861.361.541.450.980.961.181.090.960.971.031.231.701.545.585.561.221.141.451.551.511.251.291.401.565.822.742.892.952.882.763.212.932.732.692.803.273.542.563.063.083.072.702.692.682.642.612.732.26
0.410.380.360.360.370.380.360.350.370.420.400.420.390.420.390.420.420.450.440.460.460.450.450.470.490.520.510.590.600.530.540.580.570.590.600.610.610.630.660.430.410.410.430.430.440.450.460.480.470.470.460.340.320.330.340.220.220.220.220.220.220.13
0.750.700.640.620.650.710.650.640.640.760.720.740.730.710.720.750.781.010.920.920.940.970.981.021.041.081.071.461.511.291.451.511.481.631.771.791.821.932.000.790.740.750.780.790.840.910.931.010.990.930.880.560.510.530.560.310.330.330.320.370.360.24
46.2345.6743.0733.4643.0546.3646.5143.6344.5444.4847.0539.4042.5045.7751.4038.1443.0640.7546.8249.4447.6847.0647.4347.5647.1238.0450.4249.8349.5248.2349.6948.0548.3748.3547.1546.7337.6351.0050.9550.0551.5150.8251.3651.7451.6350.9052.9550.8952.1651.2150.8450.9552.7352.1053.0251.6351.7551.9652.1452.0852.7551.92
12.0614.559.316.9011.2113.0112.7810.2711.5711.9214.651.9510.688.8223.37-8.479.318.6811.862.4414.393.2421.3013.0811.944.437.6315.50-7.3814.9927.723.0016.1415.1611.799.644.3914.2917.0218.2120.6818.3918.763.6619.7319.0520.6319.7722.6719.8718.3819.5122.9122.9122.4319.4523.1022.9922.9921.9923.7220.91
12.0614.559.316.9011.2113.0112.7810.2711.5711.9214.651.9510.688.8223.37-8.479.318.6811.862.4414.393.2421.3013.0811.944.437.6315.50-7.3814.9927.723.0016.1415.1611.799.644.3914.2917.0218.2120.6818.3918.763.6619.7319.0520.6319.7722.6719.8718.3819.5122.9122.9122.4319.4523.1022.9922.9921.9923.7220.91
--------------------------------------------------------------
10.0212.557.633.569.6610.9710.496.729.079.3112.72-3.448.206.2221.77-11.446.434.709.33-0.0210.570.0717.169.4315.120.143.4110.29-13.3112.1923.680.3113.2012.268.916.211.2510.9713.9017.1219.6117.5217.822.8618.4618.0019.2618.3821.1319.1617.6018.5322.2922.2922.1619.6722.5822.8222.6421.8323.5720.39
9.7610.645.972.128.049.0910.605.577.289.0713.885.6310.905.6518.462.817.193.415.682.739.49-0.4313.51-3.9313.00-1.18-5.659.13-5.4411.5919.230.5912.2011.027.675.921.9910.5311.5113.6715.1113.8513.454.2814.7113.8032.8914.7016.5015.0914.3616.0617.5816.2317.1524.4116.7616.5416.9318.4018.7415.15
0.090.090.090.100.090.090.090.090.090.090.090.080.080.090.100.070.070.080.080.090.080.080.080.080.080.080.060.080.080.120.120.130.120.120.110.120.120.070.110.180.170.170.170.170.180.170.160.170.180.170.160.180.180.190.180.170.200.200.210.190.210.23
0.820.850.811.030.770.710.680.830.810.810.820.950.900.920.920.840.750.900.810.900.870.850.870.940.881.030.510.870.840.880.870.980.900.860.800.830.960.440.670.740.670.670.670.720.700.710.660.780.760.710.710.740.690.720.720.690.790.740.770.710.710.70
1.921.972.082.012.022.002.012.172.092.062.171.832.222.322.241.561.931.972.041.961.961.841.881.901.911.841.541.821.741.891.922.001.981.951.971.891.901.301.991.861.791.831.811.691.641.641.631.571.711.561.611.521.561.591.691.351.681.581.741.471.591.62
46.8245.6543.3644.8344.5445.0544.7841.4243.0143.6441.5349.1640.5938.8540.1357.6946.5345.7144.1846.0345.9348.8947.9447.4047.1948.8858.4449.5651.8647.5646.7645.0645.5346.1945.6047.5947.4568.9845.2448.5250.2449.0849.7153.1255.0054.9055.3157.2052.7357.7555.9759.1957.6556.6553.4166.7553.5857.1351.7861.0256.6155.42
1.882.091.110.591.571.792.001.141.531.592.35-0.441.691.204.07-1.661.190.871.310.772.100.092.80-0.642.78-0.06-0.642.53-1.064.327.400.264.864.413.172.540.853.024.645.966.065.405.341.806.196.016.046.647.366.155.265.266.076.106.444.265.715.545.785.066.505.39
-5.67-5.85-2.85-1.58-4.09-4.28-4.51-2.46-3.76-3.29-4.520.81-3.21-2.45-7.932.88-2.10-1.09-1.63-0.94-2.60-0.11-3.300.71-3.160.060.68-64.5714.55-6.27-9.49-0.33-6.73-5.35-3.26-2.46-0.85-2.687.569.409.408.528.572.9410.4910.5210.8012.2312.7210.428.438.368.568.778.775.607.627.467.756.328.076.83
0.880.990.540.290.770.850.960.540.730.711.06-0.190.750.541.83-0.730.530.340.530.310.860.041.13-0.251.10-0.02-0.250.87-0.361.432.310.081.501.290.880.690.230.761.272.422.632.342.250.752.522.372.322.422.832.462.182.443.033.013.122.403.263.193.342.793.833.42
1.111.290.720.381.001.111.280.730.970.931.40-0.261.020.702.46-0.960.700.480.730.421.140.051.53-0.341.42-0.03-0.311.04-0.432.023.370.112.101.821.270.980.331.121.573.413.563.163.061.033.443.313.283.483.903.262.863.484.134.104.273.344.434.294.513.925.064.67
89.5088.6287.6888.8389.4090.4589.7289.2289.3986.0384.8483.2384.0485.3784.8881.9482.8777.0978.1977.9579.6379.0079.5578.2779.8279.1679.8056.8055.3137.3335.6335.7937.7336.1334.1034.0034.5034.1926.2726.3328.0327.5126.3126.0024.2923.6223.0421.0021.2222.0822.5022.4824.3723.3122.0623.6522.2022.0722.3221.6921.7720.06
9.194.722.9310.375.782.041.408.605.212.851.8514.1311.259.275.2310.407.224.352.5912.127.143.810.8910.835.693.801.3911.406.454.771.4511.768.534.712.148.344.892.571.458.836.133.891.798.624.982.741.138.095.532.741.377.245.003.142.026.614.682.691.536.724.272.13
7.713.852.547.343.770.680.675.212.921.441.2110.048.717.574.397.685.122.911.968.644.962.460.287.443.542.340.628.154.333.530.938.586.673.521.525.462.971.230.875.534.202.651.205.673.021.580.665.453.761.590.844.593.322.131.604.002.981.530.973.902.491.01