MEDIFAST INC Financial Ratios for Analysis 2009-2024 | MED

Fifteen years of historical annual and quarterly financial ratios and margins for MEDIFAST INC (MED).

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
2.431.581.812.101.942.413.374.153.693.043.393.083.163.804.18
---------0.000.000.040.050.060.10
--------0.000.010.010.050.080.080.13
72.3771.3473.8974.6575.2275.8375.5474.9173.8073.3374.2474.0575.2974.7373.28
11.7911.5614.1714.3512.7613.7813.149.7810.5210.6011.858.529.1812.2810.90
11.7911.5614.1714.3512.7613.7813.149.7810.5210.6011.858.529.1812.2810.90
13.0012.2514.6214.8513.4714.7814.7711.9113.1513.4214.2911.1511.9814.5614.00
12.0111.5114.1614.3612.9414.0813.379.8810.8811.1112.058.909.2812.3110.85
9.278.9810.7511.0010.9211.149.196.507.354.627.404.986.227.616.69
3.465.063.833.393.672.962.072.262.352.462.442.452.822.742.70
5.433.852.214.443.633.113.823.765.364.844.763.973.693.334.04
----497496524198167173344148202413251
----0.730.740.701.842.192.111.062.461.810.881.45
49.3492.6081.0165.4174.3251.1325.5318.5822.0926.1327.5720.3125.2627.2523.75
49.3492.6081.0165.4174.3251.1325.5318.5822.0926.1327.5720.4125.6127.6724.45
32.0845.4041.1837.2640.0332.9319.0014.7116.8518.1420.4614.1617.5520.8518.04
49.3492.6081.0165.4174.3251.1325.5318.5822.0926.0527.4419.5023.8825.5321.32
18.4914.2617.4713.368.919.199.078.097.516.667.506.595.404.663.11
13.5217.268.0012.256.955.033.582.122.442.003.072.932.461.971.30
12.9315.785.1111.766.124.643.321.942.201.452.242.341.451.150.95

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
2.982.842.432.041.991.751.581.491.291.791.811.871.981.952.101.941.791.971.942.042.262.202.412.422.533.433.374.394.404.484.153.974.023.723.693.953.783.123.042.893.553.693.393.503.273.043.082.922.592.763.162.913.013.623.803.853.843.724.184.193.292.92
---0.08----0.15--------------------------0.000.000.000.000.000.000.000.000.000.010.010.040.040.050.050.050.050.050.060.060.070.080.090.100.100.090.09
---0.09----0.39----------------------0.000.000.000.000.000.000.000.010.010.010.010.010.010.010.010.050.050.060.070.080.070.070.070.080.090.090.110.130.130.160.19
73.2372.8574.0175.2071.1470.6069.2772.4570.9672.3973.6574.2874.5172.9675.2175.1672.4175.7875.0675.2075.2075.4574.8076.9975.6975.8775.8075.3676.0874.8975.3776.0674.8173.5373.7574.5673.6873.2972.1973.5174.3673.1168.3274.9975.1375.3968.0175.1274.9675.0775.2274.2075.4576.2974.2275.0074.2175.5471.5573.9573.8574.05
-4.674.544.5410.8113.0715.339.6712.3410.8013.1912.4013.3515.5815.5014.3316.4112.7713.1910.9610.6614.6214.9013.5812.5414.5814.8912.1613.2514.9312.1910.5913.067.068.669.0312.1012.018.886.729.5513.2012.1326.648.5010.968.9316.589.814.916.902.178.8211.5713.608.1513.4513.8913.548.7212.0711.4811.61
-4.674.544.5410.8113.0715.339.6712.3410.8013.1912.4013.3515.5815.5014.3316.4112.7713.1910.9610.6614.6214.9013.5812.5414.5814.8912.1613.2514.9312.1910.5913.067.068.669.0312.1012.018.886.729.5513.2012.1326.648.5010.968.9316.589.814.916.902.178.8211.5713.608.1513.4513.8913.548.7212.0711.4811.61
--------------------------------------------------------------
-6.326.635.1311.2613.2115.289.6112.2610.7613.1612.3713.3515.5615.5114.2916.4412.8013.2411.1210.8314.8515.0813.8312.8015.0215.1412.5613.4315.1212.3310.6613.147.168.799.6912.3012.239.266.6810.8813.5112.5326.049.1111.219.0716.729.875.887.122.098.9411.6813.848.2413.5013.8113.568.7512.0411.4111.49
-4.844.763.169.8110.2211.457.869.268.6310.019.0010.1611.9112.0510.5712.699.9710.3511.658.3711.4312.5110.739.9012.0512.409.378.6610.018.706.588.844.775.896.308.358.666.06-5.397.037.657.5311.906.567.296.184.137.923.014.491.686.667.608.565.438.558.318.095.157.457.197.18
0.570.580.620.740.931.091.071.201.330.990.951.111.081.040.961.040.950.880.880.960.880.790.860.800.750.650.530.570.580.570.520.560.600.610.530.580.610.610.540.600.580.570.340.580.680.710.350.710.770.760.660.740.770.700.670.740.820.820.750.740.720.65
1.141.030.911.001.241.060.870.740.840.610.550.821.051.481.231.621.570.900.870.910.960.940.950.731.061.380.981.191.000.890.841.091.581.451.211.431.531.381.101.131.091.340.801.241.511.280.691.241.441.440.861.011.221.110.830.961.141.091.201.120.980.73
-------------3,871-42026330611940.8619126314413712696.1913510982.8547.3045.0460.6343.7334.2137.5535.2836.2431.8137.7629.3244.1451.9947.2044.7649.4039.1721.0033.3039.0740.8547.1049.2768.2391.1610117.1720.0855.0370.0366.1171.6960.29
-------------0.02-0.210.340.290.762.200.470.340.620.660.720.940.660.831.091.902.001.482.062.632.402.552.482.832.383.072.041.731.912.011.822.304.292.702.302.201.911.831.320.990.895.244.481.641.291.361.261.49
-3.973.943.0011.9816.3223.3917.1024.0230.2119.3416.8021.3924.1223.4817.8024.6118.7916.6818.9614.3016.9717.0014.3512.3413.7410.766.736.187.286.204.286.393.724.744.406.226.635.213.216.406.796.228.595.106.776.104.888.263.545.111.597.088.038.004.758.348.958.861.427.0910.596.06
-3.973.943.0011.9816.3223.3917.1024.0230.2119.3416.8021.3924.1223.4817.8024.6118.7916.6818.9614.3016.9717.0014.3512.3413.7410.766.736.187.286.204.286.393.724.744.406.226.635.213.216.406.796.228.595.106.786.124.908.323.585.171.627.188.148.104.838.759.509.521.467.7811.826.93
-2.782.751.957.239.5012.438.3911.0811.499.918.5411.3012.8912.5810.1413.219.459.1410.218.0110.069.889.247.909.048.055.014.975.865.003.394.912.883.573.364.724.983.672.234.585.104.706.373.824.974.373.405.622.333.401.114.905.836.033.646.306.786.611.085.538.244.65
-3.973.943.0011.0216.3223.3917.1024.0225.6719.3416.8021.3924.1223.4817.8024.6118.7916.6818.9614.3016.9717.0014.3512.3413.7410.766.736.187.286.204.286.393.724.744.406.226.625.193.206.376.766.208.555.076.736.064.687.913.374.851.516.717.607.564.457.768.288.091.276.359.695.49
18.7719.2918.4917.7217.0415.7014.2613.7711.7518.7017.4716.8916.6014.8713.3611.909.939.408.919.5810.6610.269.199.348.619.429.079.078.738.318.098.017.707.597.517.387.347.006.666.857.678.017.508.027.547.056.595.625.115.035.404.634.795.154.664.484.113.593.113.152.952.79
1.860.6613.5212.549.825.8817.2612.947.653.758.008.667.275.5012.2510.577.132.266.955.403.862.675.033.763.171.483.582.751.720.562.122.151.580.642.442.271.470.832.001.951.240.803.072.451.991.062.932.882.271.502.462.382.111.281.971.861.340.961.301.250.790.37
1.520.5012.9312.049.475.6815.7812.257.133.495.116.746.245.1111.7610.257.082.246.124.633.292.314.643.513.011.383.322.561.640.521.942.031.570.672.202.141.350.751.451.631.020.712.241.831.590.882.342.341.891.321.451.681.731.071.151.300.990.790.951.040.670.32