Molina Healthcare Financial Ratios for Analysis 2009-2024 | MOH

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

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
1.541.471.431.591.831.521.351.311.391.471.581.631.741.701.66
0.360.450.480.530.430.420.530.420.430.470.400.250.220.190.23
0.570.810.911.120.750.891.621.001.030.880.880.340.290.230.29
15.8615.0114.6418.5517.3717.9411.6614.1915.4514.8315.9113.2216.1315.5813.44
4.623.673.675.556.205.99-2.791.722.732.002.080.692.992.571.42
4.623.673.675.556.205.99-2.791.722.732.002.080.692.992.571.42
5.124.224.146.006.736.66-1.742.743.833.663.512.136.274.152.51
4.303.323.154.955.785.29-3.081.152.271.401.230.402.652.191.04
3.202.482.373.474.383.74-2.580.291.010.640.800.170.461.350.84
2.292.602.272.042.482.642.352.392.162.182.193.062.752.712.95
---------------
10.9813.8912.7611.6211.9714.2022.8317.5523.2416.2219.8739.5125.2824.2925.71
33.2526.2828.6131.4230.4925.7015.9920.7915.7022.5018.379.2414.4415.0214.20
25.8826.7225.0632.1137.6042.93-38.293.159.186.145.041.6410.257.645.69
39.4450.3247.8258.2741.2248.52-47.325.8515.619.557.992.3215.5013.709.40
7.336.435.407.0610.869.88-6.040.702.171.401.500.674.683.642.48
16.5314.7913.1215.1321.5024.69-17.951.845.263.273.011.237.966.224.40
72.6751.1045.3435.5331.6126.5622.2828.9327.8020.2019.4716.7316.4815.8214.13
28.6113.2136.1631.696.76-4.6914.3611.9820.0922.084.047.404.863.883.99
27.1611.6634.8530.455.87-5.1312.828.8417.7319.691.965.743.552.713.07

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.551.571.491.541.471.521.471.471.451.431.441.431.541.551.561.591.961.881.771.831.781.731.571.521.401.381.361.351.291.241.451.311.311.521.321.391.271.291.191.471.541.451.471.581.882.472.151.631.581.571.701.741.711.691.651.701.731.731.801.661.681.681.71
0.350.330.350.360.380.400.420.450.440.460.460.480.480.500.520.530.480.510.530.430.450.460.420.420.440.420.490.530.510.440.490.420.410.500.420.430.240.240.310.470.480.410.410.400.460.460.460.250.260.270.230.220.180.180.180.190.190.320.220.230.220.230.23
0.530.490.530.570.610.660.720.810.790.840.860.910.930.991.091.120.931.021.120.750.810.890.850.890.971.031.341.621.611.310.961.000.970.991.021.030.610.630.880.880.940.880.890.880.860.870.840.340.350.360.300.290.220.220.220.230.230.470.290.290.290.290.29
16.4115.3015.2817.6214.5315.4815.6814.9714.8714.6815.5314.1314.0814.4316.0715.8018.3822.0918.3117.0616.9717.3418.1618.7416.9518.7417.3111.6213.687.6813.6812.5114.9414.8914.4614.6715.5415.9715.7415.7113.9514.7314.8314.6415.6316.9316.5216.8011.898.8515.4418.1715.5515.3015.6216.7915.9414.5614.8912.6413.5013.4114.30
4.524.394.293.494.205.325.581.284.234.484.792.583.144.015.141.745.769.186.025.666.066.326.805.836.287.004.78-5.44-1.61-5.741.67-0.132.602.412.051.963.133.292.593.451.601.401.17-0.131.482.894.273.600.15-3.342.433.672.852.692.803.092.882.122.11-0.601.652.102.69
4.524.394.293.494.205.325.581.284.234.484.792.583.144.015.141.745.769.186.025.666.066.326.805.836.287.004.78-5.44-1.61-5.741.67-0.132.602.412.051.963.133.292.593.451.601.401.17-0.131.482.894.273.600.15-3.342.433.672.852.692.803.092.882.122.11-0.601.652.102.69
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4.244.114.023.193.885.005.240.953.874.154.431.842.713.574.680.975.228.555.565.195.496.136.315.495.516.253.85-6.39-2.25-6.282.67-0.682.021.841.471.452.712.872.112.910.990.800.51-0.980.681.953.463.33-0.14-3.672.123.312.482.382.472.772.441.711.77-1.001.291.752.29
3.153.053.032.392.873.713.940.682.903.083.321.392.032.723.500.653.685.983.913.934.124.674.814.314.194.142.30-5.29-1.93-4.601.57-1.040.920.760.550.781.271.110.881.200.650.340.22-0.530.451.531.881.690.22-2.521.32-3.061.611.491.551.631.561.061.10-0.460.931.571.42
0.660.650.640.610.570.610.610.670.620.640.630.610.640.650.660.550.640.590.640.630.630.630.540.650.580.560.510.580.560.580.610.610.600.610.600.590.610.610.610.630.610.670.630.570.580.620.640.790.810.770.790.650.730.730.710.720.730.730.810.780.750.770.71
---------------------------------------------------------------
3.173.062.962.913.473.493.213.573.573.603.603.403.683.663.673.132.832.922.843.043.313.383.033.513.494.254.895.684.744.654.874.484.324.214.826.355.835.596.454.705.734.725.655.145.747.5110.5910.168.097.695.786.006.336.766.576.434.556.387.346.766.366.135.43
28.3729.4330.3630.8825.9025.7828.0125.2025.2125.0324.9726.4424.4424.5824.5128.7531.8230.7931.7129.6127.1526.5929.6925.6625.7921.1618.4015.8419.0019.3418.4620.1120.8521.3718.6714.1815.4516.1113.9519.1515.7019.0815.9317.5015.6811.988.508.8611.1311.7115.5715.0114.2113.3213.7014.0119.7714.1012.2613.3214.1514.6916.56
6.836.226.705.126.328.539.761.897.568.769.233.925.687.8110.541.628.4113.8310.818.579.5611.2910.7912.2012.6212.186.89-19.60-6.79-15.124.46-2.852.482.011.511.933.032.672.693.301.670.840.54-0.990.851.803.993.58-0.02-4.432.333.132.422.282.352.452.321.861.91-0.821.572.732.31
11.4510.2711.737.8110.1713.5916.733.5612.9416.0617.337.478.9212.8418.372.949.5615.0712.049.4010.5712.6012.0013.8014.4213.868.21-24.21-10.80-27.067.89-5.294.553.732.923.284.183.514.095.142.501.290.84-1.571.362.415.655.06-0.03-6.553.434.733.913.774.044.394.384.383.09-1.362.594.413.73
2.071.981.941.451.652.262.400.451.801.972.090.841.301.762.290.362.353.502.502.482.612.932.612.812.452.311.17-3.09-1.08-2.680.96-0.630.550.460.330.460.780.680.540.750.400.220.15-0.300.260.611.231.45-0.01-1.721.041.431.171.091.101.171.130.780.89-0.360.701.211.01
4.474.164.383.273.925.155.661.054.234.754.982.052.943.925.050.764.366.845.134.905.306.116.217.027.097.033.49-9.18-3.29-8.412.28-1.671.471.010.871.102.312.011.851.760.860.500.32-0.590.450.962.172.68-0.02-3.261.802.431.991.871.922.001.881.271.48-0.641.222.111.79
83.6882.0876.1572.6766.8862.4356.6951.1052.4348.7947.3645.3443.4140.8637.3135.5337.3133.8327.9231.6129.0627.5629.1326.5625.1826.7425.0522.2825.0726.6830.3028.9329.6728.7927.8927.8027.0726.1020.8820.2019.9719.7219.4019.4719.5119.1816.8316.7316.2116.0316.7316.4817.1116.6316.1615.8215.4014.6714.3514.1314.2213.9513.56
15.04-0.093.6728.6140.4824.2315.7913.2116.9012.526.1836.1626.0218.179.6931.6910.0512.742.346.766.262.443.76-4.69-2.814.716.0414.3616.9412.0012.8411.9811.305.052.4420.0915.1012.0011.0822.0817.294.914.444.042.37-2.400.437.405.635.091.084.863.352.471.823.880.220.66-0.683.993.392.441.68
13.50-1.013.2127.1638.9523.1415.2411.6615.5111.665.7934.8525.0617.679.4230.458.9811.992.005.875.792.133.67-5.13-3.174.505.9812.8215.4310.9312.388.848.753.201.6317.7313.4210.7810.5819.6915.824.124.061.961.01-3.160.195.744.514.370.793.552.361.811.502.71-0.530.21-0.833.072.651.931.42