Pediatrix Medical Financial Ratios for Analysis 2009-2024 | MD

Fifteen years of historical annual and quarterly financial ratios and margins for Pediatrix Medical (MD).

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
1.241.001.973.491.351.311.181.311.231.121.131.341.331.340.84
0.420.420.530.700.540.390.380.380.340.200.010.110.020.150.04
0.750.731.122.331.150.640.600.620.520.250.010.130.020.170.04
21.1323.6826.8525.9128.2729.3128.2732.4733.3833.0732.9833.7934.6934.9035.13
0.378.7610.625.669.6514.4213.9817.9620.0721.0320.9921.4422.3822.3322.43
0.378.7610.625.669.6514.4213.9817.9620.0721.0320.9921.4422.3822.3322.43
2.2410.6512.537.7111.4316.0916.5820.9222.4322.9722.8523.1423.9723.8923.70
-2.424.137.080.413.309.6511.8516.1419.4120.8520.8221.3722.2422.2022.33
-3.033.366.85-45.93-84.1515.599.8510.2112.1013.0113.0213.2613.7314.4613.65
0.900.840.700.520.430.290.550.600.610.680.720.660.700.690.76
---------------
7.136.646.057.174.103.406.466.436.256.937.557.326.897.737.57
51.2254.9360.3550.9389.0610756.5456.7958.3952.7148.3649.8452.9547.2448.21
-7.117.0212.04-1.282.823.949.9611.7613.7714.0011.9711.8412.5914.0014.77
10.86-9.49-17.131.27-447.06-9.44-16.44-18.52-24.82-44.75-552.82-184.88-1,384.45-131.73-219.65
-2.722.663.97-0.291.022.055.216.087.388.799.328.769.599.9510.41
-4.124.095.69-0.381.312.406.217.309.0711.2311.8410.4812.3811.9714.17
10.1110.7510.388.7417.7935.1632.7229.4626.0123.5923.1520.3517.6915.1012.67
1.671.980.892.454.263.425.504.773.924.234.023.272.772.532.60
1.271.630.812.114.033.245.224.343.644.053.863.122.452.402.44

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
1.381.721.241.201.241.441.001.201.391.631.971.982.142.043.493.381.792.721.351.932.232.551.311.431.521.741.181.371.591.711.311.391.651.761.231.421.691.791.121.461.551.781.131.361.732.071.341.641.732.091.331.551.751.951.341.071.051.150.840.831.011.15
0.460.450.420.390.410.450.420.460.480.480.530.540.550.570.700.680.680.590.540.570.430.430.390.400.370.380.380.380.380.400.380.420.360.370.340.400.400.330.200.150.120.150.010.100.070.130.110.080.060.040.020.090.100.160.150.000.040.090.040.070.130.15
0.890.830.750.660.720.830.730.870.960.921.121.191.231.302.332.172.101.411.151.310.760.760.640.670.590.630.600.630.620.690.620.740.560.590.520.660.670.500.250.170.130.170.010.120.070.150.130.090.060.050.020.100.110.190.170.000.040.100.040.080.140.18
22.6319.1620.3821.1023.0619.9722.5423.5225.8122.9327.6628.0127.8523.6225.8327.8527.0322.9229.5028.8031.2323.9521.6026.1828.1625.9525.5829.1129.7428.1731.9133.1633.7131.0634.3134.3733.8330.7134.2233.5433.7330.5333.4933.9633.6130.6434.2434.5634.6231.5634.9835.3936.0632.2535.6235.6636.1731.9736.0336.2136.0432.00
-31.283.21-22.467.959.696.127.019.6710.328.1113.6411.9310.585.847.754.448.322.458.7510.6810.589.229.2412.2814.1511.6914.2414.5514.4612.6917.1918.9519.1516.5120.3520.9220.8317.9621.6922.0521.7718.3821.8422.2321.4218.2121.8622.6922.1918.7822.6023.3123.6719.8123.3123.1823.5219.0923.7623.6523.3818.63
-31.283.21-22.467.959.696.127.019.6710.328.1113.6411.9310.585.847.754.448.322.458.7510.6810.589.229.2412.2814.1511.6914.2414.5514.4612.6917.1918.9519.1516.5120.3520.9220.8317.9621.6922.0521.7718.3821.8422.2321.4218.2121.8622.6922.1918.7822.6023.3123.6719.8123.3123.1823.5219.0923.7623.6523.3818.63
--------------------------------------------------------------
-33.261.58-27.976.097.784.225.417.938.85-5.8810.738.818.010.092.490.872.45-3.953.034.455.625.9512.5110.1011.949.7011.8412.4312.3910.7315.4116.9917.3514.7719.4120.2520.2417.6021.3521.9321.4918.4321.7522.0221.1818.0621.7422.6522.0818.7622.5623.1423.5019.6523.1623.1723.2719.0023.7223.6123.2618.45
-30.340.82-25.044.225.652.895.776.275.58-4.399.536.257.403.95-15.43-8.91-161.86-4.242.03-276.08-1.47-28.53-7.147.739.187.4419.287.587.566.559.4011.6610.689.0212.5012.5712.4310.7513.5913.7613.2711.2413.9213.8713.0811.0114.0213.9313.4711.4414.4114.2914.2211.8914.6017.4514.1411.4915.1214.5313.5111.21
0.250.230.220.220.220.210.220.210.210.210.180.190.190.180.120.130.120.100.110.110.100.15-0.140.150.150.140.120.150.160.150.160.150.160.160.160.160.160.180.180.180.190.180.190.190.180.180.170.190.190.180.180.190.190.190.180.190.200.190.200.200.200.20
--------------------------------------------------------------
1.841.711.771.831.851.761.731.611.481.521.581.771.711.691.721.591.010.881.060.921.111.63-1.661.621.641.571.401.671.751.711.681.701.671.621.671.781.781.771.851.821.821.791.992.031.961.911.901.891.871.791.761.972.032.032.032.011.951.911.962.021.961.84
48.9352.5250.7449.2748.7051.0951.9855.8660.8759.2857.0550.9852.7353.4152.2656.6588.8510385.2297.8780.8555.26-54.0855.4454.9457.2864.2653.8651.2952.5353.6552.9353.7855.7053.9650.6950.6250.8048.7349.5849.4850.1745.2744.2645.8847.2347.3747.6548.2350.4151.2145.7144.3944.3044.3144.7946.1447.0345.9544.5645.9948.93
-21.660.47-14.642.213.001.562.693.363.63-2.394.493.773.770.700.60-0.330.86-1.240.660.870.741.50-2.442.062.351.913.952.262.241.982.833.613.222.753.793.883.793.243.903.443.292.763.373.443.162.633.253.383.242.693.373.503.523.023.724.463.803.094.244.314.093.39
28.20-0.7322.34-3.69-4.66-2.22-3.64-4.16-4.343.11-6.39-4.73-4.37-0.73-0.590.38-0.461.24-105.15-0.90-1.23-2.635.86-3.30-4.32-3.36-6.52-3.57-3.63-2.97-4.45-5.26-5.89-4.96-6.83-8.94-8.91-9.80-12.46-55.92-70.89-42.30-155.64-64.08-86.37-93.19-50.7370796.89183-370.63-275.81-227.43-43.03-34.97187-131.43-48.22-62.97-40.20-31.70-25.56
-7.670.19-5.600.921.230.611.021.241.30-0.891.481.201.190.220.13-0.080.21-0.430.240.300.360.73-1.271.061.281.022.071.161.181.011.461.801.731.462.031.991.971.882.452.482.492.052.622.582.401.982.402.602.582.082.572.672.702.202.643.402.802.202.982.912.732.24
-11.600.26-8.471.351.760.861.571.811.87-1.252.121.721.690.300.18-0.100.28-0.520.310.380.420.85-1.491.241.471.172.461.401.391.181.762.092.071.742.502.342.282.173.132.932.902.363.333.082.952.292.883.113.052.573.323.193.172.543.184.463.632.804.064.003.582.87
8.2410.1910.1111.5311.2410.8810.7510.3410.0610.0610.389.799.378.908.749.419.6617.4717.7917.5732.4032.1835.1633.7534.1333.3032.7231.1730.3629.7329.4628.5127.3626.4826.0124.8323.6122.6223.5924.9624.0123.1923.1522.2321.6820.9920.3519.5718.8218.2917.6917.0016.3215.6715.1014.4113.6613.1612.6712.0111.4011.01
-0.22-1.501.670.82-0.14-1.231.980.82-0.18-1.140.890.38-0.33-0.962.412.580.56-1.714.292.680.76-0.663.421.780.23-1.225.503.401.25-0.234.773.361.26-0.353.922.830.99-0.564.232.430.85-0.494.022.631.07-0.183.272.210.86-0.332.771.850.83-0.152.531.640.53-0.442.601.810.67-0.24
-0.37-1.571.270.53-0.33-1.311.630.58-0.34-1.230.810.33-0.26-1.072.072.320.35-1.834.062.500.57-0.723.241.510.04-1.315.223.061.01-0.364.343.051.05-0.473.642.610.85-0.624.052.320.77-0.543.862.510.98-0.233.122.110.79-0.352.451.560.59-0.362.401.530.45-0.482.441.690.58-0.29