Chemed Financial Ratios for Analysis 2009-2024 | CHE

Fifteen years of historical annual and quarterly financial ratios and margins for Chemed (CHE).

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
1.610.920.761.100.730.830.910.990.880.990.621.261.041.321.46
-0.100.23-0.110.130.140.160.140.24-0.280.290.260.24
-0.120.30-0.120.150.190.210.180.330.410.390.400.340.32
35.2835.8435.9833.7331.8531.1330.9729.2629.5328.9528.6227.7428.4329.2529.88
15.0416.0916.0418.7413.2813.676.7811.3411.9511.579.4410.9411.3411.2110.62
15.0416.0916.0418.7413.2813.676.7811.3411.9511.579.4410.9411.3411.2110.62
17.7518.8818.8121.4715.6215.909.0213.6814.2914.1312.4713.7314.1614.0813.57
15.4715.4416.3819.0413.5013.447.0111.2311.6711.188.7610.2010.3710.4510.13
12.0311.6912.5515.3611.3411.535.896.907.146.825.466.246.346.396.20
1.361.481.591.451.531.831.811.791.811.691.581.661.701.541.45
122133135194177215216194172168151146112117111
12.4815.3115.5916.3913.4814.9214.6711.9414.5211.6915.4015.3217.4011.3322.26
29.2623.8323.4122.2627.0824.4724.8930.5625.1331.2323.7023.8220.9832.2116.39
24.6031.2543.0935.4530.2734.7618.1720.7521.4922.0017.2019.7020.7817.7115.52
62.99212-423.491569621,6431,141-3,263.63-777.68-139.11-103.61-128.09-81.72-151.11-240.38
16.3417.3120.0022.2617.3421.0710.6712.3612.9411.558.6410.3910.809.869.03
24.6028.0133.2335.4526.9330.2015.5517.4218.4716.7617.2014.2214.8113.1711.77
73.6953.7041.7956.6545.5837.2533.6932.3830.5526.7225.5324.4621.7121.7121.10
21.7320.5219.3629.8418.2317.099.718.069.846.188.126.818.323.737.07
18.0316.8815.7426.3515.0213.945.875.707.313.746.544.996.912.626.13

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
1.851.781.911.611.331.110.930.920.670.710.660.760.701.011.201.100.820.590.810.730.670.810.730.831.141.040.910.910.500.581.070.990.790.880.940.881.081.171.220.990.961.060.590.620.570.691.471.261.391.251.141.041.051.501.351.321.811.721.581.461.251.110.97
------0.020.100.120.140.150.23------0.190.110.160.120.150.130.190.160.210.140.130.200.220.160.170.230.210.140.210.240.240.240.260.26----0.270.280.270.280.280.290.280.250.260.260.230.230.240.240.250.250.26
------0.020.120.140.170.180.30------0.230.120.190.140.170.150.230.190.280.190.170.280.290.210.230.320.300.180.280.330.340.330.400.360.420.410.420.370.370.390.360.380.390.400.390.330.350.340.300.300.310.320.330.350.38
34.6434.5934.6438.8435.8132.4333.8236.0534.1036.6036.5737.8336.4834.1535.4437.1735.7929.8831.8133.5031.7231.6630.3231.7931.2630.8030.6631.9531.0031.1329.7430.8328.2629.2428.6830.7629.5529.1328.6130.5828.4528.6528.0429.4428.6628.5127.9128.9427.5827.3327.0629.0928.2328.1328.2430.0428.8828.9829.0430.3129.6229.7829.81
15.2014.7912.2819.0115.3812.5513.0014.8815.3617.3016.8518.1217.2413.4715.2526.8614.0718.4715.3914.8313.5113.8410.7114.7313.8913.1612.8413.2012.94-9.3810.2113.1710.929.8311.3712.3312.9811.6810.7713.1911.2211.5310.2311.318.577.2510.6012.4710.1511.169.9113.1412.1010.759.2311.4411.4710.7511.1510.1911.059.4611.77
15.2014.7912.2819.0115.3812.5513.0014.8815.3617.3016.8518.1217.2413.4715.2526.8614.0718.4715.3914.8313.5113.8410.7114.7313.8913.1612.8413.2012.94-9.3810.2113.1710.929.8311.3712.3312.9811.6810.7713.1911.2211.5310.2311.318.577.2510.6012.4710.1511.169.9113.1412.1010.759.2311.4411.4710.7511.1510.1911.059.4611.77
---------------------------------------------------------------
16.6715.7514.3419.7316.5212.7012.7015.0714.5316.2115.9717.7717.7114.1115.8627.3515.4519.8413.3615.2413.9213.5810.9913.7314.1713.0512.8013.5713.00-9.2610.5812.9711.0810.4010.4112.2812.1311.5610.6613.0011.1411.069.3910.867.526.699.9511.789.619.859.4812.0610.499.938.8911.0910.609.8010.269.6310.679.5410.72
12.5011.9011.0315.3713.289.649.6611.3610.8012.5112.0913.7913.3710.6212.4021.3312.8216.3510.8412.5612.2710.719.6711.8711.5412.4410.2512.748.49-5.227.357.986.836.376.367.517.477.066.517.856.866.765.746.575.114.096.087.255.886.015.797.346.416.095.476.736.555.996.275.936.475.846.56
0.340.340.340.350.360.370.390.380.390.400.410.400.410.380.360.370.390.390.400.410.390.430.430.470.450.480.480.470.470.460.460.460.470.460.440.470.430.430.420.440.410.430.410.390.390.400.410.430.410.430.420.440.420.390.400.410.360.360.360.370.370.380.38
40.0236.3135.9529.8528.9632.0334.7734.0333.1431.4931.9333.2740.7647.2950.2447.2244.9647.1648.1046.5544.6351.0850.9854.7052.9853.6857.7454.6550.9150.8852.4848.4946.1745.1445.6343.7141.5743.3143.6142.7040.1637.4938.6236.6936.1441.4840.3037.1133.5931.5930.4028.6527.5727.6029.8130.4428.6728.0428.8028.0225.8825.1625.61
3.093.223.323.233.364.603.643.924.333.894.523.944.564.325.034.204.773.793.833.634.203.483.863.834.073.713.943.774.563.523.703.064.563.952.733.753.123.212.583.042.713.913.083.804.254.682.883.953.504.333.194.493.032.823.562.983.033.103.535.672.782.842.75
29.1727.9427.0927.8826.7919.5524.7122.9520.8023.1319.9022.8319.7520.8517.8821.4118.8823.7423.5024.7821.4425.8723.2923.5122.0924.2822.8223.8819.7225.5724.3329.4519.7222.8132.9823.9928.8228.0734.8329.5633.2323.0329.1823.6921.1519.2431.2322.7925.6920.7928.2220.0229.7131.9325.2730.2429.6829.0725.4815.8732.3531.7432.76
6.135.875.498.137.355.616.157.787.889.709.6211.979.236.497.0412.628.4510.948.189.038.778.207.609.199.029.888.8810.107.42-4.785.966.145.515.395.125.835.905.655.156.605.695.484.615.104.083.044.615.904.394.754.716.215.134.153.904.903.933.683.893.824.203.954.64
15.9815.8212.9020.8221.9519.3726.8752.791444,521-331.35-117.6879.5631.5827.8655.6266.08166-313.04287-175.98125468434182240-171.95634-70.7129.05-111.68-966.07-66.60-37.81-58.26-211.07-72.69-53.18-53.42-41.73-27.14-30.97-26.61-30.74-17.95-34.51-56.48-38.35-42.77-29.48-24.18-24.43-24.21-72.93-35.76-41.7976.70302-205.89-59.21-36.94-23.64-20.66
4.284.093.765.404.803.553.784.314.195.064.915.565.464.084.497.934.956.364.375.174.784.644.185.575.235.924.935.933.96-2.383.373.663.182.922.813.513.213.052.743.462.832.892.372.561.981.632.483.112.412.562.463.232.692.382.202.732.342.182.272.232.402.222.50
6.135.875.498.137.355.616.046.976.968.348.169.239.236.497.0412.628.4510.946.638.037.357.216.497.987.348.337.048.646.44-3.814.685.164.554.144.065.014.664.283.895.034.204.064.615.104.083.043.384.263.223.443.394.433.703.112.903.643.042.822.972.903.162.953.42
82.7880.5178.4673.6967.9163.4258.8453.7048.7346.1644.7441.7950.8755.5958.5156.6550.4847.3943.2845.5842.2139.0537.0837.2535.6734.7631.9833.6930.0828.4831.3032.3830.2228.6929.4630.5529.1228.4128.0726.7225.5725.8625.5725.5324.3425.9325.7324.4624.7323.5522.7121.7121.5522.9721.9121.7123.5122.6121.9121.1020.2619.4218.56
16.6510.635.5121.7314.5912.674.0020.5213.9410.436.6519.3615.478.206.5429.8424.5816.975.4118.2314.356.624.4517.0913.757.203.869.7111.456.274.098.067.754.360.429.846.494.000.716.182.892.52-0.658.127.344.460.436.813.992.820.548.325.132.362.253.732.520.880.337.073.541.901.11
14.439.294.7218.0311.6610.502.8916.8811.488.865.8515.7412.666.155.4626.3521.9715.004.2015.0211.954.903.6113.9411.575.783.115.878.444.513.565.705.963.18-0.257.314.762.920.223.741.091.44-1.096.546.323.820.144.992.621.87-0.086.914.011.671.962.621.690.360.106.132.971.611.02