Boston Scientific Financial Ratios for Analysis 2009-2024 | BSX

Fifteen years of historical annual and quarterly financial ratios and margins for Boston Scientific (BSX).

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
1.321.511.481.820.970.760.680.901.431.271.651.711.721.391.52
0.310.340.350.370.380.360.350.450.470.370.390.380.270.300.32
0.470.510.550.600.720.810.800.810.900.660.650.620.380.480.48
69.4968.8168.7865.0570.9871.3771.3471.0970.9470.0569.5667.6065.1166.7168.54
16.4512.9910.08-0.8014.1315.3314.205.33-3.78-4.081.68-53.3611.86-8.40-10.92
16.4512.9910.08-0.8014.1315.3314.205.33-3.78-4.081.68-53.3611.86-8.40-10.92
25.2622.9922.3815.9124.5324.7923.5715.186.758.3917.9918.0330.6926.16-0.59
13.949.009.05-0.806.4014.4810.312.11-8.69-6.90-3.12-56.668.42-13.62-15.97
11.035.068.29-1.1643.7817.011.154.14-3.20-1.61-1.69-56.125.79-13.64-12.52
0.410.390.370.320.350.470.480.460.410.430.430.420.360.350.33
1.752.122.312.561.972.412.412.542.142.342.422.662.862.912.89
6.396.446.696.475.876.115.855.705.866.245.475.966.125.915.95
57.1156.7054.5956.3762.1559.7562.4564.0762.2458.5166.7961.2859.6761.7261.29
8.153.976.26-0.5333.8719.151.505.15-3.78-1.84-1.85-59.213.88-9.43-8.33
-185.12-55.88-69.9414.94-112.31-30.07-1.80-5.953.772.362.3775.45-9.0420.3516.26
4.532.153.23-0.2615.387.960.551.92-1.32-0.70-0.73-23.712.07-4.81-4.07
5.672.644.09-0.3320.9212.350.972.86-1.99-1.16-1.12-36.582.83-6.56-5.63
13.3212.2611.6610.829.956.305.114.944.694.864.955.077.837.438.14
1.711.061.301.061.300.221.020.860.520.960.830.910.660.210.55
1.230.660.930.810.980.010.790.610.330.760.680.760.470.040.35

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
1.611.671.321.421.291.401.511.451.311.181.481.551.661.801.821.871.871.210.971.141.311.390.760.780.830.820.680.720.750.870.901.051.051.211.431.551.951.291.271.741.811.711.651.851.411.901.711.751.731.851.721.701.661.751.391.201.071.291.521.561.741.88
0.300.320.310.300.310.320.340.330.340.350.350.350.360.370.370.370.370.400.380.500.450.450.360.370.380.410.350.370.400.440.450.440.450.460.470.470.440.370.370.390.390.390.390.390.360.400.380.380.360.270.270.270.270.290.300.320.320.340.320.300.310.32
0.510.530.470.470.490.500.510.490.520.560.550.550.570.580.600.600.610.750.721.121.011.000.810.800.840.820.800.750.810.780.810.840.870.880.900.910.780.660.660.630.650.650.650.650.640.650.620.620.550.370.380.370.360.430.480.550.550.550.480.450.470.47
69.1768.6769.2368.7870.6369.3168.8569.1268.8368.4468.9269.3069.2967.5163.1167.3260.5168.3170.7371.3071.1970.7271.5771.8870.3271.7572.0271.3372.0069.9171.7971.7869.9470.8270.9871.4570.7070.5970.3270.2169.9469.7369.7570.6170.7067.1868.0267.8468.3866.1864.2963.7165.1667.2267.0867.4866.0866.1765.8568.9469.6269.80
12.6217.4515.7319.6214.2816.2612.3711.2913.0115.405.7613.208.5113.411.88-7.75-3.495.747.2014.1514.6021.7012.4216.2615.7017.1513.2416.979.9716.856.3916.53-15.7114.92-11.48-15.8411.881.36-26.133.47-3.6811.106.915.9412.16-18.746.43-34.24-196.2310.509.259.2912.0016.7317.3813.1011.98-75.82-59.212.5213.260.55
12.6217.4515.7319.6214.2816.2612.3711.2913.0115.405.7613.208.5113.411.88-7.75-3.495.747.2014.1514.6021.7012.4216.2615.7017.1513.2416.979.9716.856.3916.53-15.7114.92-11.48-15.8411.881.36-26.133.47-3.6811.106.915.9412.16-18.746.43-34.24-196.2310.509.259.2912.0016.7317.3813.1011.98-75.82-59.212.5213.260.55
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10.1915.7713.5617.3011.8413.1012.187.7310.645.163.8116.474.8411.8111.34-8.54-9.040.87-0.213.365.5118.3311.5619.0613.9413.589.4613.914.0314.124.0612.21-18.6711.61-17.04-19.445.70-2.88-29.360.16-5.558.233.21-2.318.40-22.372.80-38.21-197.926.595.415.928.0014.1811.498.516.17-80.36-64.79-2.178.68-4.83
7.8612.8413.5314.327.258.853.865.497.583.212.5913.815.5911.887.24-6.36-7.640.431384.655.8517.0115.0718.0522.2912.53-25.5312.746.4713.435.6610.83-9.7410.29-7.18-10.495.53-0.06-15.852.330.217.505.88-0.297.19-20.103.35-38.27-195.736.065.797.587.392.3911.799.925.08-81.07-51.76-4.647.62-0.65
0.110.110.110.100.110.100.100.100.100.090.100.090.100.090.090.090.070.080.100.100.110.100.120.120.130.120.130.120.120.120.120.120.120.110.110.100.110.110.110.110.110.110.110.100.110.110.110.100.100.090.090.090.090.090.090.090.080.090.080.080.080.08
0.490.470.460.460.470.510.540.550.580.550.600.560.660.640.740.590.520.500.540.500.580.590.630.590.680.600.630.590.620.670.650.600.650.560.570.500.560.540.590.560.590.580.620.570.630.680.660.610.640.710.710.700.740.700.740.680.740.730.800.670.720.71
1.721.671.671.681.691.631.651.691.691.621.761.761.841.691.771.661.371.611.591.511.541.541.591.511.571.511.561.511.561.511.491.521.531.521.551.481.541.521.601.501.461.461.411.401.421.431.501.451.471.421.481.521.481.441.521.451.471.511.511.421.441.47
52.4353.7853.8353.6153.3655.1354.6953.1253.1855.5051.1751.2348.9953.3450.8854.0965.4755.8156.6559.7158.5658.5256.5159.4257.3659.7757.8359.5457.5859.5460.4759.2258.7259.1658.0160.7358.3659.1056.4260.1161.8461.7464.0064.2263.5862.9660.1862.0961.2063.4760.6859.4160.7962.4659.3461.8661.3859.7459.5263.6062.6661.30
1.562.442.582.641.461.730.791.071.510.660.572.551.172.171.38-1.00-0.950.0728.801.301.634.594.425.217.184.23-8.763.732.024.111.843.52-3.333.13-2.25-3.091.55-0.02-4.630.640.062.041.65-0.081.97-5.440.89-9.72-46.300.990.941.231.270.402.091.720.90-14.74-8.75-0.711.18-0.10
40.50-1,540.63-58.60-153.96-21.83-25.66-11.13-14.80-13.12-3.97-6.32-26.42-25.83-29.91-39.1111.319.00-0.27-95.48-1.50-2.79-7.86-6.95-7.72-10.24-5.2410.54-5.57-2.63-5.40-2.13-3.893.35-3.322.243.15-2.130.025.92-0.87-0.08-2.68-2.120.10-2.616.77-1.1313.1571.63-2.38-2.19-2.95-2.98-0.89-4.51-3.25-1.6125.1617.071.57-2.640.21
0.871.341.431.480.800.950.430.590.810.340.291.310.601.100.69-0.50-0.480.0313.070.470.631.781.842.122.831.55-3.221.520.791.620.691.29-1.161.14-0.78-1.090.60-0.01-1.760.260.020.810.65-0.030.76-2.110.36-3.93-20.080.530.500.660.680.211.070.850.43-6.95-4.27-0.360.60-0.05
1.091.661.791.841.001.180.520.721.000.430.371.660.751.370.87-0.62-0.590.0417.780.650.912.522.853.304.432.51-5.672.361.212.311.021.96-1.821.70-1.18-1.620.88-0.01-2.900.390.041.231.00-0.051.27-3.290.55-5.99-29.860.720.690.900.930.291.451.170.61-9.66-5.91-0.490.82-0.07
14.0113.7213.3213.0612.6412.6012.2612.3212.0611.7111.6611.5511.2111.0710.8210.8710.939.869.956.966.776.646.305.995.615.105.115.535.285.154.944.764.584.774.694.774.904.854.865.054.944.944.954.904.934.825.074.975.467.957.837.687.557.447.437.267.187.118.148.808.908.81
0.660.111.711.050.580.131.060.500.17-0.041.300.970.650.201.060.580.14-0.051.300.810.460.250.220.21-0.150.141.020.530.21-0.010.860.370.400.080.520.20-0.10-0.150.960.620.360.150.830.620.430.140.910.640.430.150.660.430.19-0.060.21-0.080.00-0.190.550.770.450.17
0.43-0.011.230.750.410.060.660.250.02-0.120.930.780.530.150.810.440.02-0.120.980.620.350.210.010.06-0.250.100.790.360.08-0.090.610.240.320.060.330.08-0.17-0.180.760.480.270.100.680.540.390.140.760.520.350.100.470.290.09-0.110.04-0.22-0.08-0.230.350.620.360.13