Elevance Health Financial Ratios for Analysis 2009-2024 | ELV

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

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
1.441.401.471.551.661.561.551.611.621.701.821.831.701.871.91
0.370.380.370.370.360.380.400.360.400.370.350.370.270.250.25
0.640.660.640.600.630.690.770.670.740.680.620.650.460.410.35
17.3417.1918.1620.4119.6121.9419.7721.2422.7923.0420.8221.6021.5223.4626.79
5.105.406.365.796.466.335.546.226.666.846.467.117.238.1312.09
5.105.406.365.796.466.335.546.226.666.846.467.117.238.1312.09
6.126.477.306.747.557.566.537.297.817.997.748.318.289.1512.94
4.504.855.775.125.745.504.405.375.855.915.416.276.527.4211.40
3.493.764.443.754.614.074.272.913.233.483.514.324.364.927.31
1.571.521.421.411.351.291.281.301.281.201.191.041.161.171.25
---------------
9.599.7610.3211.1210.039.8910.249.9110.7810.1913.4812.7013.6314.8515.61
38.0637.4035.3832.8236.3936.9035.6536.8433.8535.8327.0728.7526.7724.5823.38
15.2016.2117.0213.7715.1513.1414.509.8411.1110.5610.6411.1411.3712.1219.09
157361479217188-386.60-350.64-580.22-95.66-324.56-444.23-151.26177113142
5.505.736.315.286.215.245.453.804.154.154.424.505.075.769.10
9.5610.0310.738.709.718.208.766.266.676.696.876.988.349.0314.29
16915314913512511110395.1788.2190.4584.4478.1168.6263.0455.28
33.9634.5933.8942.0323.2814.4915.6312.2015.4311.7810.058.459.243.416.32
28.5029.8529.4938.0119.159.9112.6710.0213.229.598.056.777.832.325.54

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
1.491.371.441.411.441.431.401.351.371.361.471.481.491.571.551.591.641.531.661.701.641.611.561.541.531.491.551.511.651.641.611.571.581.581.621.721.611.631.701.751.691.721.821.841.801.791.832.101.761.731.701.751.901.891.871.911.761.831.911.801.740.81
0.370.350.370.380.390.400.380.370.370.360.370.380.390.400.370.360.370.370.360.380.360.370.380.370.380.400.400.350.360.370.360.370.370.390.400.400.400.380.370.370.370.360.350.370.360.370.370.360.300.260.270.270.260.260.250.250.240.240.250.270.280.28
0.650.650.640.640.660.680.660.660.660.650.640.640.660.690.600.610.620.680.630.660.650.660.690.690.690.760.770.660.660.700.670.690.700.730.740.770.800.730.680.700.690.670.620.630.630.630.650.600.500.430.460.450.400.410.410.410.390.370.350.400.430.46
19.3519.2715.1917.7317.7318.7415.2517.7317.5218.3316.5317.5319.1319.6816.3819.3025.6020.7617.7919.4019.6321.8318.9821.7922.7324.3617.6819.2720.0422.1219.1020.9421.6823.4119.1822.2724.0325.8521.7423.4223.5623.4918.5521.1721.8121.7819.7821.5121.4723.6318.8221.6621.0524.6222.3323.1023.8724.4936.3424.3722.3321.83
7.447.532.954.466.196.813.195.866.036.584.616.137.577.312.531.9811.467.714.716.286.438.643.106.157.398.802.515.666.237.773.856.127.627.392.716.498.549.065.487.107.657.163.446.597.698.174.087.557.579.203.867.497.3610.295.928.538.529.5223.447.967.596.67
7.447.532.954.466.196.813.195.866.036.584.616.137.577.312.531.9811.467.714.716.286.438.643.106.157.398.802.515.666.237.773.856.127.627.392.716.498.549.065.487.107.657.163.446.597.698.174.087.557.579.203.867.497.3610.295.928.538.529.5223.447.967.596.67
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6.806.902.353.865.596.212.625.335.496.054.025.576.956.721.921.2510.767.054.015.585.717.892.325.346.567.900.554.995.386.733.035.316.756.471.855.687.788.244.675.866.846.332.624.936.837.303.106.686.818.503.126.796.679.585.147.807.838.8622.897.246.835.90
5.245.282.013.014.244.722.174.014.244.703.264.215.305.141.730.717.785.143.414.444.476.291.814.134.595.825.433.333.824.481.702.893.643.470.903.294.294.542.673.403.963.930.833.684.525.043.034.504.185.562.194.444.656.223.755.075.015.8214.464.734.503.83
0.390.380.390.390.400.390.390.390.380.380.380.370.350.340.370.360.330.360.350.340.340.330.330.310.310.310.320.330.330.330.330.330.330.320.330.320.310.290.310.300.300.290.300.300.300.300.260.280.280.290.290.290.300.290.290.290.290.290.360.310.310.31
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2.282.332.392.532.642.522.492.812.722.602.722.802.672.632.902.702.662.622.642.592.492.422.512.482.482.632.582.872.602.742.532.962.902.822.753.032.732.542.622.943.103.143.403.443.263.503.163.263.103.303.443.523.553.533.703.572.993.484.564.083.823.07
39.4138.6737.7035.5634.0535.6636.1632.0133.0834.6433.0732.1833.7334.1630.9933.3233.7934.4134.1234.7536.1037.1435.8536.3336.3134.1934.9031.3934.6732.8435.5030.4031.0231.9432.7329.6632.9335.5034.3830.6529.0428.6826.4826.1327.6025.7428.4527.5928.9927.2426.1625.5825.3825.5024.3325.2330.0825.8919.7522.0623.5529.28
5.445.522.113.374.845.352.414.434.564.943.264.195.144.911.660.656.614.812.943.783.705.171.493.303.674.864.642.883.243.871.472.503.222.990.792.823.733.562.092.603.002.841.252.643.263.591.932.902.723.641.442.882.903.862.303.033.043.5811.033.193.122.70
39.0855.4921.7847.1579.4915853.7414222114991.751721,68358.3326.208.1170.3136336.5756.9878.39271-43.71-202.11-115.34-58.33-112.3014486.56166-86.59-74.41-56.23-33.12-6.76-25.88-31.19-56.54-64.24-79.00-94.09-72.12-52.09-40.58-41.11-39.16-26.2360.8065.4547.8022.3936.4023.1233.4121.5124.3130.0028.5182.1059.93209-81.29
2.042.010.761.181.701.840.851.551.621.771.211.531.871.740.640.262.591.851.211.521.502.080.591.291.421.791.741.091.251.460.570.961.221.100.291.051.341.320.821.021.171.120.521.081.341.470.781.241.181.630.641.301.381.821.091.451.441.715.261.481.411.17
3.443.591.332.082.943.201.492.792.873.182.062.613.152.951.050.424.193.001.892.362.363.270.932.072.282.912.801.882.062.430.931.582.031.830.471.682.232.211.321.621.901.810.811.662.072.271.211.861.912.681.062.112.162.851.722.272.322.738.262.342.251.93
18217516916416215815315114914914914714413813513613712612512312011711111211010610310110098.4395.1793.9492.0989.5988.2189.0288.1791.8690.4589.8188.8186.3684.4483.7681.9580.8778.1175.8572.7170.9168.6267.9266.7665.0463.0461.7159.0056.8455.2849.1746.6344.22
10.398.4533.9646.6535.4026.9934.5940.9520.5110.4033.8927.2016.9310.0942.0327.0531.429.8123.2818.2111.756.2114.4912.6810.428.4315.6320.5511.389.9412.2011.177.575.0815.4311.7610.295.8911.7810.798.604.7410.059.134.563.138.456.175.273.619.249.205.082.943.412.06-0.16-0.726.326.313.232.39
7.817.2528.5042.5532.6725.7329.8537.4218.269.3629.4924.1714.959.2738.0124.1229.719.0119.1515.4210.015.329.919.338.417.6012.6718.6310.299.4710.029.626.634.6413.2210.389.465.579.599.347.654.288.057.793.742.786.775.004.593.247.838.284.532.672.321.25-0.67-0.995.545.742.902.25