Cross Country Healthcare Financial Ratios for Analysis 2009-2024 | CCRN

Fifteen years of historical annual and quarterly financial ratios and margins for Cross Country Healthcare (CCRN).

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
2.792.492.541.962.152.282.212.121.841.961.871.912.142.923.06
-0.250.370.260.300.260.280.360.370.350.000.000.090.160.19
-0.330.610.360.430.380.420.570.630.570.050.160.170.220.25
22.3022.3622.3724.2424.8125.6726.4226.6025.7225.5425.8925.2127.1728.1026.50
5.589.738.31-1.10-1.91-1.581.360.742.68-1.69-1.83-5.541.35-0.943.06
5.589.738.31-1.10-1.91-1.581.360.742.68-1.69-1.83-5.541.35-0.943.06
6.4910.188.900.42-0.20-0.132.612.053.98-0.32-0.37-3.383.892.205.47
5.099.137.94-1.47-2.94-2.230.500.550.54-5.07-2.29-6.080.82-1.962.02
3.606.717.87-1.55-7.02-2.084.340.960.58-5.14-11.86-9.540.93-0.681.16
2.972.962.292.342.151.911.852.152.101.901.771.451.261.181.62
---------------
5.204.253.364.794.714.794.884.725.135.196.736.445.605.737.45
70.1885.8310976.2477.4876.1474.7377.3671.2270.3454.2756.6965.1563.7048.97
15.3441.2244.37-7.84-34.22-7.2016.325.753.50-24.20-33.77-9.920.62-2.142.72
25.6275.62102-52.21-483.23-37.82120-10,516.35-13.5197.51-364.05-24.934.73-20.2827.96
10.6919.8818.01-3.40-14.63-3.688.302.251.36-9.70-21.85-6.780.44-1.531.88
15.3431.1027.85-5.83-23.86-5.3111.763.692.23-15.70-33.75-9.910.56-1.802.21
13.7712.598.044.284.566.126.634.694.424.175.176.778.097.917.94
7.003.57-2.290.750.150.591.260.830.57-0.130.280.330.591.012.34
6.613.34-2.480.630.070.461.120.650.49-0.280.220.260.460.942.26

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
2.793.073.022.672.432.342.452.492.382.672.442.542.172.342.221.961.891.771.932.152.031.992.082.282.242.332.322.212.142.242.332.122.172.221.991.842.161.931.851.962.001.801.701.873.143.033.031.911.562.871.972.142.472.612.812.922.742.723.013.062.492.772.93
-----0.060.230.250.230.330.380.370.310.370.360.260.270.250.300.300.300.300.260.260.260.280.280.280.310.150.160.360.310.350.290.370.340.330.340.350.290.250.000.000.000.000.000.000.000.120.060.090.120.140.150.160.160.170.170.190.210.260.32
-----0.070.310.330.310.500.620.610.470.590.550.360.380.330.420.430.430.430.350.380.380.410.410.420.460.180.180.570.460.550.440.630.510.530.560.570.440.410.120.050.000.000.000.160.160.150.160.170.180.200.210.220.220.230.230.250.290.380.50
20.3620.8420.3921.8622.0122.7722.3922.1222.5722.6122.1622.9722.3521.8821.7125.2324.7523.4023.6124.7224.3825.4424.7225.1725.6926.2425.5626.5426.4727.0125.6725.9027.0827.5025.9726.1326.3125.1125.2925.3225.0226.4425.7926.1626.0825.1326.1825.0124.4624.9326.4627.7527.2527.4627.0228.6828.0328.5627.7128.3126.7526.5724.99
0.91-5.650.773.244.596.517.038.198.2010.4611.4911.867.054.796.382.63-0.20-6.31-0.360.910.06-7.45-1.38-12.001.322.122.02-2.883.663.081.573.914.34-8.532.632.933.512.242.00-4.720.93-1.52-1.26-6.510.85-1.47-0.18-0.88-1.11-19.64-0.832.183.172.060.87-7.342.542.852.001.842.903.024.08
0.91-5.650.773.244.596.517.038.198.2010.4611.4911.867.054.796.382.63-0.20-6.31-0.360.910.06-7.45-1.38-12.001.322.122.02-2.883.663.081.573.914.34-8.532.632.933.512.242.00-4.720.93-1.52-1.26-6.510.85-1.47-0.18-0.88-1.11-19.64-0.832.183.172.060.87-7.342.542.852.001.842.903.024.08
---------------------------------------------------------------
1.08-5.760.973.134.415.616.447.387.669.8411.0511.446.574.496.182.16-0.50-6.66-0.76-0.33-1.24-8.14-2.25-12.710.631.461.47-3.423.152.85-0.65-3.067.02-11.9010.17-2.711.241.502.20-10.62-3.87-1.77-1.57-6.700.75-1.53-1.67-1.19-1.82-20.11-1.491.802.781.550.33-8.011.511.921.090.771.751.943.15
0.00-4.720.715.28-3.954.736.175.477.027.8612.116.253.485.912.14-0.69-6.53-0.99-0.53-1.50-25.49-0.91-9.80-0.220.750.7812.722.942.32-0.97-3.546.54-8.649.68-3.162.561.341.58-10.75-4.02-2.59-0.66-48.160.85-1.321.05-8.53-15.68-13.33-0.530.431.361.250.17-5.280.791.000.940.320.751.541.73
0.530.560.580.610.620.700.680.660.720.800.860.870.720.670.740.600.540.620.540.560.530.510.440.470.440.450.460.470.500.550.560.570.590.580.550.530.580.580.560.580.560.360.450.440.390.400.390.370.370.340.330.360.380.360.360.330.320.330.340.350.350.380.42
---------------------------------------------------------------
1.181.311.021.061.041.090.980.951.031.061.161.281.231.271.321.231.121.351.241.231.201.311.211.181.181.241.291.241.2465.471.261.261.431.351.341.291.521.541.461.581.661.081.561.681.671.591.481.631.441.411.451.591.771.781.661.601.741.821.641.601.841.791.68
76.3268.9088.4484.7986.1682.7091.9494.5587.3184.5277.9170.0973.3970.8568.4072.9380.5766.8772.8173.0375.2768.7974.5976.3076.4572.8170.0272.5672.641.3771.6171.4562.7466.5367.0969.7759.2358.4261.6056.9654.2683.6957.8053.7353.9056.5560.6655.3762.5663.7562.0656.5950.9750.6054.1856.1851.7749.4854.7956.2448.8250.3553.63
0.60-3.660.581.932.734.546.518.488.2312.8817.4126.0710.816.0111.203.11-0.77-9.42-1.10-0.37-1.65-31.13-0.64-8.86-0.050.770.8111.893.362.59-0.88-5.048.97-11.8511.93-4.193.631.962.28-15.41-4.99-2.02-0.49-32.940.68-0.68-0.63-1.430.33-8.040.150.210.710.630.08-2.440.360.470.460.160.400.951.28
1.05-6.300.963.254.637.8111.9015.5613.2521.2732.6059.7743.5843.7744.7020.74-7.28-106.03-14.79-5.18-33.90-753.86-3.34-46.55-0.325.185.8987.07-58.4010.06-3.819,213151259-121.2916.16-65.90-11.09-10.8562.1131.0617.55-5.11-355.131.64-1.65-1.53-3.591.57-49.361.081.635.325.120.75-23.164.677.024.221.665.2114.4716.11
0.43-2.660.421.331.812.773.204.093.945.636.7610.594.502.344.401.35-0.32-3.99-0.46-0.16-0.68-12.92-0.31-4.53-0.030.400.426.041.541.36-0.47-1.973.92-4.965.33-1.621.520.810.91-6.18-2.22-0.93-0.30-21.320.53-0.52-0.48-0.980.24-5.940.110.150.520.450.06-1.750.260.330.320.110.260.580.73
0.60-3.660.581.932.734.264.996.406.308.5810.7916.377.433.817.212.31-0.56-7.09-0.77-0.26-1.15-21.79-0.47-6.53-0.040.560.588.562.312.20-0.74-3.236.23-7.708.49-2.662.411.311.51-10.00-3.55-1.51-0.49-32.920.68-0.68-0.63-1.430.33-7.060.140.190.630.550.07-2.060.310.390.380.130.320.700.88
13.0413.1513.4613.6013.5413.1412.7512.5911.3310.959.518.045.875.064.614.284.123.974.314.564.564.596.036.126.556.536.496.635.745.535.384.694.824.374.884.424.364.244.274.174.805.035.155.176.846.816.906.777.067.598.128.098.047.997.957.918.098.027.987.947.897.857.71
2.902.600.177.006.734.681.283.573.46-0.29-0.76-2.29-0.33-0.25-0.670.750.700.930.480.150.300.700.360.590.610.500.371.260.800.710.040.830.890.400.070.570.590.190.01-0.13-0.10-0.18-0.300.280.370.14-0.050.330.180.120.050.590.470.360.041.010.800.760.332.342.261.630.83
2.712.450.116.616.414.461.183.343.28-0.39-0.82-2.48-0.46-0.33-0.710.630.600.860.450.070.250.660.330.460.520.440.341.120.680.610.010.650.750.320.040.490.530.15-0.01-0.28-0.22-0.27-0.380.220.350.13-0.060.260.120.070.030.460.370.290.020.940.760.740.322.262.191.580.80