HCA Healthcare Financial Ratios for Analysis 2009-2024 | HCA

Fifteen years of historical annual and quarterly financial ratios and margins for HCA Healthcare (HCA).

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
1.181.381.411.421.441.351.621.561.671.631.411.261.301.621.52
0.971.000.960.911.021.101.181.221.251.291.341.441.381.641.47
37.35-521.7023.2210.72-59.69-11.25-6.62-5.57-5.04-4.53-4.10-3.47-3.86-2.61-3.22
84.7684.4483.8683.7683.4883.4583.2383.2983.2783.0482.5382.6882.5582.3081.82
14.8515.1016.6714.2014.1414.2913.9915.0715.1515.1914.1014.7015.4815.8615.11
14.8515.1016.6714.2014.1414.2913.9915.0715.1515.1914.1014.7015.4815.8615.11
19.6420.0821.5719.5419.2619.2418.9519.8920.0420.2319.3919.9720.6621.2220.74
11.8614.2416.7410.5410.2211.4310.0411.599.979.438.628.7712.007.967.48
8.079.3711.847.286.838.115.086.975.375.084.554.868.304.313.94
1.161.151.161.091.141.191.191.231.211.191.191.181.101.181.11
4.904.534.774.134.594.464.654.614.614.905.065.264.915.536.07
6.526.777.267.316.966.886.717.126.746.486.567.076.557.327.25
55.9553.8850.2949.9452.4753.0954.4151.2554.1756.3055.6151.6555.7449.8950.33
575-9,361.64519152-733.63-150.41-54.91-60.93-44.59-36.52-28.81-24.05-40.52-14.57-17.23
-68.55-70.27-95.90-77.15-46.92-40.37-22.14-27.82-21.10-18.38-15.56-14.45-23.17-11.66-13.03
10.8413.0315.229.249.2011.197.5010.178.237.666.927.1510.576.595.70
15.9318.1621.5513.0212.5615.079.8413.4411.1410.509.6610.4715.259.348.16
3.99-0.264.878.52-1.67-8.51-14.27-15.20-15.16-15.45-15.76-18.82-16.03-25.25-84.30
34.1228.9227.2526.8721.8319.0314.5814.2811.099.887.979.097.937.056.36
16.9614.0116.3718.629.898.976.487.315.535.043.765.034.544.023.31

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
1.061.161.181.151.201.231.381.381.551.431.411.381.451.391.421.131.091.571.441.511.441.051.351.611.361.391.621.681.621.651.561.721.691.701.671.461.471.271.631.511.491.511.411.431.291.301.261.241.311.301.301.571.611.641.621.511.541.471.521.541.901.67
0.960.970.970.990.990.991.001.021.030.990.960.950.950.930.910.960.981.021.021.041.051.081.101.131.151.161.181.181.191.211.221.251.261.251.251.261.271.291.291.281.311.301.341.351.391.421.441.351.371.391.381.541.441.461.641.571.581.561.471.491.471.51
30.5331.6537.3511084.45167-521.70-48.47-34.0791.0523.2217.7018.2012.5210.7223.8454.48-49.59-59.69-23.67-20.45-15.44-11.25-8.88-8.05-7.51-6.62-6.50-6.23-5.88-5.57-5.10-4.84-5.09-5.04-5.12-4.99-4.73-4.53-4.73-4.40-4.47-4.10-4.03-3.77-3.57-3.47-4.10-3.89-3.81-3.86-2.93-3.36-3.26-2.61-2.82-2.82-2.89-3.22-3.13-3.13-3.00
84.9484.6085.0785.0984.3884.4684.3384.5084.4784.4783.9883.8883.5184.0983.4284.0184.2183.4983.4983.5483.1983.6983.6983.4983.3783.2483.1683.3983.2883.0883.0783.4683.3583.2983.5583.3283.1383.0782.7883.3183.4082.6582.3082.7782.6082.4882.2082.9482.4783.1282.6782.6082.1482.7878.0382.1883.8784.0971.3383.9983.8283.72
15.6114.7516.3513.0214.4615.5015.6714.3815.5514.8016.0716.4217.3716.8517.1816.3810.4211.8715.1212.9013.1515.3615.7013.2214.4413.7015.6711.5714.6213.9716.0014.2415.1514.8516.1113.5215.5515.3815.5414.8416.7513.5514.1813.7214.9613.5514.0013.8414.1616.7316.1214.4714.6516.6418.7314.5114.6316.1622.7512.2013.8814.86
15.6114.7516.3513.0214.4615.5015.6714.3815.5514.8016.0716.4217.3716.8517.1816.3810.4211.8715.1212.9013.1515.3615.7013.2214.4413.7015.6711.5714.6213.9716.0014.2415.1514.8516.1113.5215.5515.3815.5414.8416.7513.5514.1813.7214.9613.5514.0013.8414.1616.7316.1214.4714.6516.6418.7314.5114.6316.1622.7512.2013.8814.86
--------------------------------------------------------------
12.7912.9613.5510.0511.4112.3321.3111.3811.8812.1417.1720.6714.6714.1214.507.4214.096.3011.887.719.5111.6612.139.3410.7413.4711.917.2710.8110.0314.719.9110.9710.6710.268.559.9411.1410.0510.089.797.709.058.299.547.576.588.408.6211.4631.591.696.446.989.716.766.639.0810.425.397.038.33
8.359.189.296.667.528.7413.437.577.798.5212.0414.8510.0510.189.985.029.754.527.924.826.218.308.676.637.1110.014.103.986.126.208.656.026.386.765.684.565.126.115.475.625.233.934.804.325.014.083.724.474.826.4224.910.843.163.244.873.513.785.144.992.603.774.84
0.300.300.310.300.300.300.300.290.290.290.300.310.300.300.300.260.230.280.300.290.280.290.310.300.310.310.320.300.310.310.320.310.310.310.310.310.310.310.310.310.310.300.310.300.300.300.300.300.300.310.290.310.300.310.240.300.330.310.180.310.310.31
1.461.401.281.191.211.161.171.151.131.161.221.221.171.081.171.090.951.091.211.181.161.151.161.161.171.141.241.151.161.201.201.131.161.211.171.191.241.271.301.221.271.291.331.281.281.341.381.311.351.361.281.421.461.451.421.511.551.511.551.621.661.69
1.711.731.741.771.821.801.741.751.721.751.861.811.891.882.032.071.801.871.831.781.751.691.811.751.751.801.781.791.861.881.831.871.821.741.741.691.711.631.691.671.691.611.701.721.721.731.811.751.811.721.711.851.841.821.521.902.061.951.172.152.031.92
52.6852.1351.8050.9749.4449.9751.6451.4152.4051.3148.3649.6847.6147.8044.4043.5049.9248.2249.1250.5651.5653.3549.7851.3451.4649.8950.6050.3248.4847.9949.2848.2249.4451.5851.7153.2152.7855.1453.1853.9253.3655.9353.0552.4152.3552.0149.8651.3349.7652.2352.5148.6748.9949.3459.3747.2543.7446.2676.7641.8044.2646.87
126142176357306665-3,624.66-172.75-120.7535413513592.9663.6658.5859.97214-99.29-225.31-52.80-52.37-52.37-42.67-24.02-23.42-28.91-12.83-10.46-15.65-14.50-19.26-12.09-12.17-13.52-12.21-9.86-11.17-11.57-10.40-10.15-9.59-7.02-8.00-6.63-7.17-5.47-5.12-6.93-6.99-8.72-29.11-1.61-4.25-4.29-3.65-3.52-3.98-5.12-3.81-3.31-4.30-4.87
-19.56-20.72-20.95-13.53-15.38-16.49-27.21-12.89-12.85-16.08-24.90-33.73-24.15-25.93-29.79-10.71-15.18-7.51-14.41-7.95-9.35-11.34-11.45-7.80-8.34-10.77-5.17-4.27-6.71-6.42-8.79-5.80-6.00-6.38-5.78-4.64-5.35-5.70-5.23-5.13-5.06-3.67-4.32-3.63-4.12-3.23-3.08-3.78-3.92-5.02-16.65-1.24-3.12-3.18-2.92-2.74-3.13-4.01-2.88-2.52-3.30-3.77
2.943.163.312.342.632.935.052.612.672.813.954.993.453.343.571.532.501.542.831.742.042.723.182.362.563.441.751.482.302.303.212.252.382.472.251.802.102.302.182.052.121.521.921.641.921.571.521.671.792.357.590.611.341.401.651.401.611.981.261.141.511.78
4.484.694.873.433.824.207.033.663.684.005.607.304.884.745.032.433.882.053.862.342.874.114.283.073.534.722.301.913.012.994.252.973.203.333.052.542.973.402.992.852.962.122.682.302.792.292.232.442.583.4110.960.871.871.962.342.012.322.871.801.612.042.50
5.174.823.991.331.690.84-0.26-2.74-3.981.384.875.825.547.448.523.841.68-2.08-1.67-4.26-5.18-6.57-8.51-10.81-11.90-12.63-14.27-14.19-14.00-14.53-15.20-16.38-17.10-15.24-15.16-14.09-14.30-14.84-15.45-13.89-15.27-14.56-15.76-15.74-16.74-17.97-18.82-14.87-15.76-16.71-16.03-20.76-14.57-15.10-25.25-97.65-100.47-98.26-84.30-87.61-89.83-93.97
16.819.2134.1224.5315.386.4228.9220.6810.054.3827.2520.1112.745.7926.8737.3229.564.0021.8314.678.532.7819.0312.978.073.5714.589.987.153.3714.2810.156.893.4111.097.454.832.349.886.313.740.977.975.293.361.609.096.344.921.747.934.833.091.997.055.812.961.976.3624.1513.310.00
7.735.0416.9611.526.612.1614.0110.083.491.5716.3712.758.253.8918.6231.2524.881.529.896.373.520.558.976.123.641.646.484.493.681.877.315.313.952.175.533.762.491.315.042.991.720.093.762.391.420.735.033.583.211.014.542.611.651.284.023.851.741.483.3114.616.84-