CVS Health Financial Ratios for Analysis 2009-2024 | CVS

Fifteen years of historical annual and quarterly financial ratios and margins for CVS Health (CVS).

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
0.860.950.890.910.941.031.021.181.261.371.641.421.561.601.43
0.430.410.410.460.500.550.370.410.410.230.250.200.190.190.20
0.800.730.750.931.071.250.720.750.740.340.350.260.260.270.31
39.3238.9439.8238.9738.1919.6016.9617.4717.3118.2018.7618.2719.2021.1120.73
3.842.474.565.184.672.075.165.856.186.316.345.865.916.416.54
3.842.474.565.184.672.075.165.856.186.316.345.865.916.416.54
5.063.786.246.836.376.626.607.247.557.707.827.287.387.947.96
3.121.813.613.643.500.724.474.865.625.515.945.125.375.856.01
2.331.342.742.672.58-0.313.582.993.423.333.623.143.233.583.76
1.431.411.251.161.150.991.941.881.661.881.771.861.661.541.59
12.0410.319.908.879.069.5110.039.939.059.569.329.128.617.067.53
10.1611.8211.9612.3613.0911.0414.0214.6012.8914.3914.5219.0017.7119.4518.00
35.9430.8730.5329.5327.8933.0726.0425.0128.3125.3725.1319.2120.6118.7720.28
10.926.0310.6010.3310.33-1.0217.5914.4414.0612.2412.1310.289.179.0810.34
-19.07-13.88-24.38-17.57-13.621.05-46.09-35.64-35.389,883246257202152-9,487.18
3.351.903.433.122.98-0.306.975.635.666.266.435.845.415.506.00
6.193.546.275.595.15-0.4611.078.528.249.379.068.277.387.388.31
59.5055.2157.0253.2149.2945.2137.1734.7233.7933.3032.1530.5929.3227.6625.71
10.4112.2313.7412.079.858.497.829.407.586.964.725.214.353.472.78
8.0610.1711.8510.227.966.545.957.345.515.143.143.642.962.041.04

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
0.800.860.810.860.860.860.920.950.940.910.880.890.940.950.930.910.950.980.990.940.920.950.951.032.442.342.371.021.051.091.081.181.161.111.201.261.431.301.301.371.391.451.511.641.421.571.501.421.421.471.481.561.531.621.601.601.491.511.391.431.371.311.40
0.440.450.440.430.450.460.440.410.420.400.410.410.430.450.450.460.470.480.500.500.510.520.530.550.620.630.610.370.400.430.430.410.420.420.420.410.420.240.240.230.240.240.250.250.190.190.200.200.200.200.190.190.210.210.190.190.190.210.190.200.200.170.20
0.870.880.870.800.830.870.810.730.740.730.760.750.780.810.870.930.971.051.101.071.101.161.251.251.721.831.680.720.740.780.810.750.740.820.760.740.730.350.350.340.340.350.350.350.260.240.250.260.270.250.240.260.290.290.260.270.300.330.320.310.340.310.32
44.5245.2045.6438.7939.0839.7939.6638.3137.9438.8740.7639.4639.0040.0740.8238.9738.9538.4139.5637.1137.6138.5639.5825.4716.8217.1518.0122.1515.4115.1614.7621.2316.7916.0415.6117.7417.2417.2216.9717.9018.4718.2818.1819.3118.8718.6918.1420.0118.6817.7416.6019.6319.4119.2518.4622.3821.1520.9119.9721.9120.3420.3120.30
0.873.342.573.604.113.644.044.36-4.835.794.613.064.155.965.183.634.857.165.184.544.525.254.361.515.42-2.934.366.465.414.634.036.576.335.395.066.686.036.095.876.266.416.386.196.756.756.315.517.286.005.564.566.925.945.625.087.196.236.255.937.446.366.435.89
0.873.342.573.604.113.644.044.36-4.835.794.613.064.155.965.183.634.857.165.184.544.525.254.361.515.42-2.934.366.465.414.634.036.576.335.395.066.686.036.095.876.266.416.386.196.756.756.315.517.286.005.564.566.925.945.625.087.196.236.255.937.446.366.435.89
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0.112.561.792.883.362.893.383.76-5.485.123.912.202.915.144.301.762.696.064.163.493.294.083.150.194.00-4.403.215.804.474.083.455.995.523.494.385.965.365.645.505.914.495.925.716.346.365.915.105.665.565.134.136.405.365.064.566.635.665.695.406.915.865.925.28
0.091.941.262.182.522.142.502.78-4.203.763.061.822.173.833.221.401.834.553.012.612.363.052.31-0.772.93-5.462.186.792.782.402.143.713.452.112.653.643.223.423.363.572.713.603.453.853.913.603.103.563.333.152.523.763.253.092.774.223.413.423.254.154.143.563.15
0.380.360.350.380.360.360.360.370.350.350.330.330.310.310.300.300.290.280.290.300.290.290.280.280.360.350.340.510.500.490.480.490.470.470.470.450.420.500.490.500.480.480.450.460.470.470.470.470.470.470.470.440.410.400.410.390.380.390.390.410.400.410.39
3.003.112.943.193.053.102.822.712.792.842.512.612.592.562.322.302.342.442.382.402.522.512.412.472.672.612.532.462.762.722.652.452.592.592.622.422.412.482.472.552.462.492.392.402.392.402.382.282.342.422.412.262.072.112.061.761.771.831.851.911.972.112.06
2.642.822.752.662.733.013.013.073.082.962.903.142.923.012.903.202.822.902.903.413.283.493.163.093.203.313.283.673.713.723.673.783.273.323.323.463.023.413.583.833.233.633.603.763.974.414.634.844.725.025.044.684.524.484.804.934.644.714.614.644.334.514.37
34.1231.9532.7933.8033.0129.9029.9029.2829.1830.4030.9928.7030.8429.9531.0728.1331.9631.0231.0626.3927.4825.7928.4829.1628.1227.1627.4724.5124.2424.1824.4923.8027.4927.1327.1326.0029.8226.3725.1723.5327.8324.8025.0223.9322.6520.4319.4218.5819.0817.9417.8519.2319.9120.0818.7318.2419.4019.1219.5019.4120.7919.9720.61
0.092.351.522.673.042.622.993.25-4.794.023.181.842.133.793.131.411.764.373.072.722.433.132.38-0.723.80-7.192.588.723.693.212.844.634.292.663.184.033.333.433.303.482.493.272.953.343.262.892.502.962.742.552.042.892.312.131.872.692.222.292.162.922.872.462.11
-0.16-3.98-2.45-4.67-4.88-3.96-5.51-7.4810.55-9.74-7.04-4.23-4.66-7.74-5.70-2.40-2.89-6.80-4.26-3.58-3.04-3.71-2.630.74-12.9221.47-7.78-22.85-7.74-6.33-5.40-11.44-9.74-5.42-7.24-10.15-9.19-189.29-137.662,8139121,2461,29867.8152.3641.7450.3274.1514660.4942.5763.8183.8553.3127.6845.0874.91327-4,541.18-2,679.49-675.25240-130.93
0.030.700.450.820.900.770.901.02-1.471.321.010.600.681.210.970.430.521.270.870.780.690.880.65-0.211.06-1.920.743.461.381.191.041.811.641.001.241.621.341.701.651.781.291.721.551.771.851.701.441.691.561.471.181.701.331.241.131.631.321.341.261.701.651.461.22
0.051.280.851.511.691.421.671.91-2.792.411.871.091.212.101.710.760.932.261.531.351.201.501.12-0.321.43-2.641.005.492.211.841.622.732.501.531.842.361.932.612.512.671.902.472.212.492.652.332.012.392.192.051.642.331.821.681.522.191.801.811.752.352.302.051.68
59.7059.8059.2359.5057.8956.9455.9755.2154.0057.5556.7757.0256.4955.8254.2053.2152.8052.3050.1749.2948.3747.4246.2345.2135.9435.0238.0737.1734.4233.6432.9534.7233.7332.6433.3333.7933.5033.2132.8333.3033.0532.8732.5832.1532.0131.7131.1130.5929.6329.8329.5029.3228.6628.4128.0127.6626.9826.4526.0425.7125.1524.7724.21
5.766.353.8710.4112.4510.375.7612.2313.796.822.6813.7410.736.592.1912.079.357.932.529.857.835.601.508.496.255.202.317.827.985.403.419.407.473.802.227.584.322.671.756.964.052.611.834.723.462.061.325.213.883.122.134.353.762.251.363.472.201.250.762.781.540.900.52
4.165.283.318.0610.819.155.0010.1712.245.711.8911.859.285.591.5610.228.047.031.957.966.384.610.956.544.834.301.845.956.624.552.987.346.002.791.685.513.011.851.385.142.821.861.503.142.391.421.073.642.852.491.842.962.891.731.142.041.190.620.471.040.330.160.21