Henry Schein Financial Ratios for Analysis 2009-2024 | HSIC

Fifteen years of historical annual and quarterly financial ratios and margins for Henry Schein (HSIC).

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
1.671.791.671.661.581.301.441.441.501.641.831.841.791.862.05
0.310.200.170.110.150.220.240.200.140.160.140.160.130.140.10
0.550.280.210.180.210.550.590.440.280.260.170.200.180.180.12
31.2930.2929.6327.8330.9530.9130.9227.8828.2928.0727.7828.0528.3528.8429.32
4.985.916.875.297.196.387.546.676.906.907.086.926.826.927.10
4.985.916.875.297.196.387.546.676.906.907.086.926.826.927.10
7.217.588.567.139.047.909.058.148.408.368.498.338.188.328.44
4.395.706.704.946.815.707.096.536.786.846.956.766.676.676.92
3.374.255.093.996.965.694.574.384.514.494.514.344.314.334.76
1.171.471.461.301.401.111.131.711.631.691.701.681.801.661.70
4.674.494.694.834.834.603.175.015.055.625.525.346.456.155.96
6.628.778.547.108.018.065.839.238.649.209.068.819.608.509.01
55.1141.6242.7451.3945.5545.3062.5739.5642.2339.6840.2941.4538.0142.9540.50
10.1713.8216.2410.5219.9812.7211.2819.8718.1317.9516.9116.1916.6314.5915.29
-86.8592.0312241.8812241.53-217.3034813617564.0776.6176.8060.4334.04
4.126.587.785.3910.145.304.058.238.058.238.387.948.547.748.61
7.0011.0213.549.3117.069.968.5315.8215.6215.0514.5613.6414.4712.5413.74
33.1831.0729.6327.9725.3223.3918.3817.6417.5116.7616.2814.8913.5313.1211.92
3.804.375.014.184.384.453.453.923.663.463.792.272.992.122.20
2.683.674.453.843.873.993.053.503.232.983.451.992.751.911.91

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
1.551.751.671.971.721.821.791.841.831.791.671.701.791.681.661.491.481.641.581.631.701.651.301.301.291.441.441.551.551.481.441.611.721.651.501.741.781.811.641.721.891.781.831.821.962.081.841.731.822.031.791.931.901.831.861.752.162.192.052.021.981.92
0.310.320.310.300.210.200.200.180.150.150.170.150.150.110.110.120.120.190.150.200.220.220.220.230.250.260.240.230.220.200.200.200.190.190.140.170.170.190.160.180.190.160.140.100.150.190.160.150.150.150.130.130.130.140.140.140.190.190.100.100.110.11
0.600.560.550.440.360.320.280.250.200.210.210.190.200.170.180.300.310.380.210.310.360.380.550.630.740.680.590.520.480.500.440.370.320.380.280.270.260.300.260.290.260.280.170.150.180.250.200.240.210.190.180.170.170.210.180.260.240.250.120.130.190.20
32.4631.9030.6631.4731.4531.5729.6429.8031.1930.6129.4228.7030.0330.4627.2126.5626.9730.7130.3730.3431.3531.8530.3730.6731.0231.63-95.5626.4527.4328.1527.5427.4927.9028.6727.8527.8828.5528.9628.2927.5127.8528.6727.6927.2328.0128.2127.5527.3028.3629.0927.8927.8228.7329.0528.4028.3829.5029.1429.4728.7029.6129.51
5.074.731.296.336.485.722.146.887.267.686.036.647.087.865.716.61-0.447.167.367.466.637.316.395.236.787.14-19.846.766.896.646.867.016.296.497.047.036.966.557.516.646.916.477.406.837.366.707.536.717.036.356.986.787.106.387.027.257.465.897.716.867.596.10
5.074.731.296.336.485.722.146.887.267.686.036.647.087.865.716.61-0.447.167.367.466.637.316.395.236.787.14-19.846.766.896.646.867.016.296.497.047.036.966.557.516.646.916.477.406.837.366.707.536.717.036.356.986.787.106.387.027.257.465.897.716.867.596.10
--------------------------------------------------------------
4.214.000.465.666.005.331.876.687.067.525.826.486.917.735.376.24-0.966.967.107.126.206.805.644.516.186.51-13.456.486.646.396.636.856.176.476.906.906.846.447.406.516.876.547.396.817.296.277.346.576.886.176.846.656.966.196.837.027.185.567.586.817.325.83
3.322.930.604.334.523.951.394.895.285.694.415.105.265.684.514.99-0.645.3612.365.604.684.655.385.166.106.173.284.374.454.824.464.674.184.194.564.764.494.204.924.374.444.204.924.574.533.994.674.344.463.854.484.354.433.934.604.644.543.464.845.814.573.69
0.310.310.290.320.340.360.390.360.360.380.390.380.370.380.410.360.230.320.370.350.340.330.290.280.300.29-0.030.420.430.430.460.430.430.410.440.420.430.410.440.430.440.410.450.450.460.440.450.440.460.440.490.440.440.410.450.410.420.410.470.450.440.43
1.281.281.151.181.151.091.211.181.141.181.261.271.231.251.521.430.871.271.301.291.231.171.220.850.830.77-0.261.371.421.291.361.411.401.291.361.361.431.351.461.481.501.391.461.521.571.451.451.511.611.531.781.651.641.491.661.601.631.551.631.541.531.41
2.011.931.622.012.112.082.342.042.152.202.292.052.192.222.222.021.532.032.141.962.031.982.121.451.481.44-0.172.052.172.142.492.102.222.132.322.202.262.242.402.232.202.182.392.132.302.232.372.152.262.192.632.152.212.082.282.052.232.192.462.172.202.19
44.7446.6555.5844.7742.6243.2438.5044.2241.8540.8839.2343.9541.1640.5440.5144.6158.8444.4242.0345.8844.2745.4942.5462.1960.6662.41-527.0243.9841.4541.9636.1742.9640.6142.3038.8241.0039.8640.1637.5540.4540.8941.3537.5942.2739.1340.3537.9441.7739.7541.0534.1641.9040.6843.2039.4043.8740.3941.0636.5541.4540.9341.03
2.532.310.403.343.543.101.253.823.954.403.744.124.094.383.694.00-0.383.719.294.143.523.623.532.823.923.94-4.685.005.105.385.485.004.504.274.884.814.524.085.114.404.453.914.844.294.643.834.654.094.313.524.763.974.083.394.033.994.113.074.294.743.692.93
-12.53-19.10-3.39-95.9785.5519.348.2921.8921.1125.7328.1024.8324.1521.5614.7119.15-2.2323.0656.6934.5131.6435.6911.5185.30212-206.9990.2711711910995.9943.4532.6932.1136.4633.2632.9740.0449.8844.2529.7825.6718.3418.0421.1519.1622.0220.6319.8114.0221.9816.2817.0916.9316.6917.8718.9311.539.5511.117.896.44
1.020.970.161.461.621.490.591.902.012.201.792.012.022.251.891.94-0.191.784.722.021.711.731.471.151.471.45-1.682.022.112.202.272.192.011.892.172.222.121.882.352.032.121.872.402.202.351.902.282.062.221.872.442.102.151.732.142.052.111.582.422.662.201.72
1.741.570.272.352.782.490.993.133.343.723.123.513.483.893.273.52-0.332.997.933.312.752.822.762.182.932.93-3.553.844.004.294.364.013.643.484.204.003.753.294.293.603.613.284.173.853.963.103.923.503.672.994.143.463.562.913.463.433.342.483.854.253.302.60
32.6432.9833.1832.9432.0631.4631.0731.3830.9830.6729.6329.5128.6628.2827.9726.6225.4325.3225.3223.6523.3122.9223.3922.4119.0818.9118.3819.2418.5317.5917.6418.0018.0617.7717.5117.6417.1316.3116.7616.7016.7816.4716.2815.7615.0914.7614.8914.5814.0014.0113.5313.9813.9413.2713.1212.8212.3912.0011.9211.4712.0411.21
3.831.523.804.052.280.204.372.541.800.675.013.071.570.444.181.74-0.090.554.382.430.87-0.224.452.541.41-0.463.451.941.11-0.333.922.311.21-0.473.661.721.07-0.163.461.860.84-0.323.792.231.35-0.212.271.160.72-0.272.991.491.000.262.120.950.690.122.201.190.44-0.15
3.231.202.683.231.77-0.033.672.051.490.534.452.721.340.343.841.48-0.300.393.872.100.66-0.333.992.221.21-0.553.051.590.87-0.443.502.041.05-0.553.231.410.88-0.252.981.510.62-0.433.452.011.22-0.281.990.980.60-0.342.751.320.890.201.910.800.600.071.910.980.28-0.22