CONMED Financial Ratios for Analysis 2009-2024 | CNMD

Fifteen years of historical annual and quarterly financial ratios and margins for CONMED (CNMD).

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
1.981.962.342.192.112.332.382.903.013.293.342.792.721.954.12
0.540.570.460.510.520.400.430.460.320.290.260.210.130.130.24
1.171.410.871.061.080.690.770.860.460.420.360.270.250.330.32
54.3354.6456.2153.3754.9454.5754.1253.4853.0854.6054.0752.9051.7151.1948.56
9.696.7010.865.338.288.295.894.937.127.137.418.501.148.004.07
9.696.7010.865.338.288.295.894.937.127.137.418.501.148.004.07
15.9513.8219.2415.3117.0915.4813.2512.1813.2213.3113.6814.5815.3513.8610.01
6.49-6.787.230.193.275.893.612.546.286.316.647.75-0.326.402.61
5.18-7.716.191.103.004.756.971.924.244.354.715.280.104.251.75
0.540.460.570.490.540.630.590.570.650.670.700.710.780.720.72
1.791.431.912.062.612.532.582.612.532.272.452.312.082.022.18
5.145.465.504.875.054.744.775.155.375.705.295.405.354.915.51
71.0466.8066.4174.9772.2777.0976.5670.8767.9464.0569.0267.5768.2874.3366.28
7.73-10.817.961.344.036.178.792.535.215.545.936.670.135.172.11
-10.3610.72-20.63-2.32-6.50-26.99-29.92-6.2018837393.471670.5329.9312.75
2.80-3.513.540.541.612.984.091.102.772.933.303.750.083.081.27
3.57-4.664.290.661.953.715.031.373.573.924.385.270.114.521.60
27.1224.4526.7424.5425.0023.5422.5820.8621.1121.1021.9821.3920.5120.7819.78
3.971.113.472.193.232.592.331.431.832.352.883.323.601.320.86
3.370.393.011.752.552.011.870.901.291.792.222.572.980.810.12

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
2.342.181.981.661.741.901.962.752.872.602.342.422.232.332.192.262.512.462.112.482.552.582.332.201.972.152.382.562.622.662.903.273.493.573.013.443.413.303.293.173.683.643.343.613.623.642.792.752.502.122.721.591.751.981.953.143.273.344.123.914.584.44
0.520.540.540.540.550.570.570.590.590.470.460.480.490.500.510.530.540.520.520.530.530.540.400.400.400.410.430.460.450.460.460.460.470.470.320.310.310.310.290.290.290.290.260.270.290.270.210.220.200.190.130.010.050.110.130.230.230.230.240.240.250.25
1.101.161.171.271.331.421.411.451.460.910.870.950.981.031.061.141.191.121.081.131.161.180.690.710.690.710.770.860.850.870.860.860.890.900.460.450.450.450.420.420.410.410.360.380.400.380.270.280.280.330.250.290.280.310.330.370.350.360.320.320.330.34
55.3255.0755.7055.1853.7352.5752.5655.1254.7656.1256.8957.1955.4355.2053.6056.2145.5955.6853.6055.7055.0655.6154.7254.6854.6354.2255.7053.9453.0853.5452.4154.7752.9553.9453.6055.2951.6551.8653.3555.1153.7056.3854.7653.2353.3354.9153.3153.8352.5751.9351.9752.8449.9152.1849.3951.6851.7352.0550.3849.9446.9846.54
14.1811.2115.359.958.634.30-0.448.818.829.2613.5810.7310.078.639.7712.35-13.476.1510.538.967.835.3310.655.707.848.5510.417.096.48-1.346.187.493.971.956.798.776.866.168.761.408.479.517.954.918.118.498.467.768.998.76-22.439.229.119.417.368.838.167.695.712.853.064.48
14.1811.2115.359.958.634.30-0.448.818.829.2613.5810.7310.078.639.7712.35-13.476.1510.538.967.835.3310.655.707.848.5510.417.096.48-1.346.187.493.971.956.798.776.866.168.761.408.479.517.954.918.118.498.467.768.998.76-22.439.229.119.417.368.838.167.695.712.853.064.48
--------------------------------------------------------------
11.308.1412.446.665.480.83-4.205.71-33.727.2010.827.016.384.185.347.30-20.751.636.514.042.73-0.908.373.125.456.178.224.564.25-3.544.265.402.03-1.785.967.886.045.347.970.527.648.717.234.147.397.617.767.028.178.02-23.547.607.577.835.787.206.566.104.231.111.373.59
9.036.3110.115.204.320.6210.6016.78-60.716.188.926.015.214.249.552.88-17.372.775.642.982.390.476.462.884.105.2720.983.793.11-2.443.293.971.49-1.254.115.244.123.555.811.135.454.745.033.174.945.615.415.125.435.13-13.544.754.744.903.785.094.034.152.600.730.862.73
0.150.140.140.130.140.130.110.120.130.140.160.140.140.130.140.140.090.120.150.130.140.120.180.150.160.150.160.140.150.140.150.140.140.130.170.150.170.160.180.160.170.170.190.170.180.170.190.170.180.180.200.170.180.180.190.170.180.180.200.180.180.18
0.460.440.460.420.450.420.360.410.430.420.510.470.540.510.600.570.490.540.750.600.620.570.710.600.670.630.700.590.680.620.710.440.510.450.660.470.590.590.610.480.550.520.640.560.610.540.600.510.570.570.530.470.540.510.540.450.510.500.580.530.540.55
1.391.291.351.321.391.391.311.391.371.321.491.501.511.421.431.431.101.291.401.351.331.271.341.261.321.281.331.301.361.331.381.391.391.351.431.361.401.381.501.371.341.371.411.341.351.361.421.361.391.371.371.321.201.251.271.221.271.191.511.601.751.80
64.8369.5966.6768.0264.9564.9468.6564.5565.6368.0660.4159.8459.6063.4263.0663.0481.8070.0264.2566.7667.6370.9767.4071.6268.3870.2967.5569.4666.3767.4765.3764.8764.9666.7663.0766.3364.4665.2259.9465.9266.9765.4763.8167.2766.8666.2263.5166.3964.5765.9365.7868.1675.0072.2571.0773.8670.9775.8259.5656.2151.4749.94
3.402.313.961.991.760.243.576.44-25.011.903.111.981.791.363.401.00-4.060.842.100.990.820.152.360.891.351.667.401.221.05-0.791.161.260.50-0.391.341.541.291.101.950.331.701.451.690.961.631.761.801.551.741.70-4.391.351.411.501.191.511.261.250.860.230.250.81
-5.38-3.32-5.32-2.34-1.96-0.25-3.54-5.8627.90-5.14-8.06-4.39-3.69-2.55-5.87-1.545.97-1.35-3.39-1.55-1.24-0.22-10.34-3.56-4.77-5.96-25.18-3.11-2.671.91-2.83-3.08-1.170.9048.3210312513913111.3825.1127.8926.6027.046.416.5744.826.106.176.30-17.616.356.437.646.879.418.097.705.211.461.776.45
1.310.851.440.680.590.081.162.01-8.120.841.380.850.750.561.380.39-1.590.340.840.400.320.061.140.430.640.793.440.530.46-0.340.500.550.22-0.170.710.810.680.581.030.180.930.800.940.520.880.971.010.860.970.93-2.690.820.870.910.710.870.740.740.520.140.150.48
1.621.071.830.910.780.101.542.63-10.171.001.681.020.920.681.670.47-1.870.401.020.470.380.071.420.530.810.984.230.660.58-0.430.630.680.27-0.210.921.060.890.761.380.231.211.031.250.701.171.281.421.211.391.37-3.801.331.341.341.041.170.980.970.650.170.190.60
28.6127.7627.1225.9025.3924.6224.4523.5022.0926.7526.7425.8525.5324.9524.5423.8923.6324.6025.0024.7124.6424.5623.5423.2123.0622.9222.5821.1120.8620.6520.8621.0020.8420.9921.1120.8420.8720.8221.1021.4922.0221.5921.9821.4721.2721.4621.3921.1520.8920.8220.5121.8521.6021.2420.7820.6219.8420.0519.7819.6119.3819.10
2.330.933.972.180.72-0.121.111.450.640.013.472.431.740.712.191.510.320.133.231.820.60-0.142.591.721.580.882.331.591.110.551.430.940.05-0.601.831.390.900.532.351.430.900.612.881.930.830.193.322.131.160.273.602.691.390.721.320.540.19-0.440.860.880.480.23
2.150.873.371.730.44-0.260.390.930.32-0.103.012.061.560.611.751.170.090.032.551.360.29-0.272.011.311.330.741.871.260.920.460.900.56-0.22-0.701.290.980.620.391.790.990.590.472.221.440.530.052.571.580.760.042.982.241.100.580.810.16-0.06-0.550.120.300.07-0.02