Omnicell Financial Ratios for Analysis 2009-2024 | OMCL

Fifteen years of historical annual and quarterly financial ratios and margins for Omnicell (OMCL).

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
2.522.060.893.002.041.941.721.742.122.522.532.184.684.554.28
0.320.33-0.330.060.170.260.36-------
0.480.500.430.480.060.200.380.59-------
43.3145.4549.0046.3248.7147.2944.7145.5651.1753.0453.4454.3255.3053.0249.29
-3.04-0.187.913.988.735.641.563.0810.0411.259.278.646.614.280.31
-3.04-0.187.913.988.735.641.563.0810.0411.259.278.646.614.280.31
5.677.7917.3612.7216.1312.459.0111.6915.3315.8414.1012.889.868.164.73
-1.75-0.195.833.298.244.520.631.869.5411.009.208.626.554.480.56
-1.780.446.883.616.844.794.281.406.356.926.305.154.232.200.21
0.520.590.530.490.720.730.700.740.840.790.770.710.670.650.66
5.914.794.814.974.264.114.105.475.086.565.635.336.0610.6810.31
4.554.334.704.694.114.013.754.634.495.336.505.706.355.205.23
80.1984.3477.6777.7888.8590.9897.3378.8381.3268.5256.2064.0657.4770.1369.81
-1.710.506.793.337.265.555.512.267.647.826.875.263.671.840.18
-8.423.6959.8010.7315.9818.8662.95-11.2918.6616.5215.3714.634.152.110.21
-0.910.263.631.764.943.493.001.045.315.454.873.662.861.430.14
-1.160.336.792.246.854.634.071.447.647.826.875.263.671.840.18
26.1125.2625.9622.6120.0616.8514.4211.7811.3010.899.979.178.538.037.58
4.011.694.844.253.382.560.641.351.051.781.541.150.920.611.44
3.090.664.233.733.011.980.250.990.841.451.200.710.660.411.33

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
1.052.452.382.522.472.382.062.062.252.110.820.892.623.103.093.004.121.971.932.042.092.031.961.941.781.781.681.721.531.401.491.741.701.631.552.122.122.062.732.522.412.672.722.532.502.412.302.182.122.124.684.684.604.624.584.554.614.634.384.284.024.014.11
-0.320.320.320.320.330.330.330.330.34--0.300.310.320.330.33--0.060.090.090.120.170.210.240.250.260.270.290.320.360.330.340.35----------------------------
0.460.470.480.480.480.490.500.500.500.520.530.430.430.450.470.480.50--0.060.100.100.130.200.300.340.360.380.410.430.490.590.520.550.55----------------------------
43.2941.3137.6340.7244.1844.9743.0240.9045.7147.7147.0648.0049.5249.9748.5649.6245.2941.6947.7349.7849.0147.8647.9648.2648.4247.0645.1547.6145.4243.1641.8644.2946.1245.1246.7549.9450.8750.9553.0852.4852.9153.3553.5553.5555.3452.7052.0854.7654.6552.2355.7357.0153.4655.4255.3754.7753.4852.7850.9349.8150.5051.1545.63
2.321.16-8.88-9.031.242.59-7.90-12.895.313.771.593.739.9210.607.798.114.75-3.505.298.9310.778.636.308.948.563.890.358.256.53-0.39-11.148.412.79-0.071.089.1911.0711.028.9311.0912.0811.959.7810.4511.409.994.7910.9113.313.225.679.807.446.931.802.665.346.382.792.521.752.50-5.69
2.321.16-8.88-9.031.242.59-7.90-12.895.313.771.593.739.9210.607.798.114.75-3.505.298.9310.778.636.308.948.563.890.358.256.53-0.39-11.148.412.79-0.071.089.1911.0711.028.9311.0912.0811.959.7810.4511.409.994.7910.9113.313.225.679.807.446.931.802.665.346.382.792.521.752.50-5.69
---------------------------------------------------------------
4.122.96-7.24-7.152.474.08-7.29-11.934.983.251.562.197.878.425.135.575.13-3.424.938.8510.267.885.617.857.183.41-1.157.415.07-0.28-12.807.471.25-1.16-0.198.6110.5510.608.4911.0211.4511.929.5310.3311.4210.064.5310.7913.353.135.829.707.147.051.892.915.626.482.922.691.852.87-5.34
3.061.35-6.37-5.551.861.15-5.16-9.544.822.742.584.509.897.495.616.574.12-2.154.928.908.737.351.626.996.673.491.4915.904.151.04-6.965.311.12-0.67-0.225.876.427.765.447.606.497.416.096.458.256.423.896.148.211.823.676.584.654.241.171.172.273.591.811.021.581.72-3.58
0.120.120.110.120.130.140.130.130.160.160.150.150.140.140.130.140.120.160.190.200.180.180.170.200.190.180.180.190.200.200.160.190.190.190.190.230.220.190.200.220.210.200.200.210.190.200.190.200.200.190.170.170.180.170.170.170.170.160.160.170.170.170.17
1.681.741.481.391.441.261.171.191.281.151.231.351.441.351.351.301.131.021.061.151.101.091.011.091.060.960.981.071.111.261.131.411.281.291.271.401.241.201.641.831.661.551.531.561.371.681.601.521.451.431.671.491.761.561.662.652.802.652.622.612.562.672.62
1.121.150.991.031.101.090.900.990.981.071.101.291.271.301.221.311.141.060.991.141.131.061.001.080.991.080.961.031.091.201.131.171.001.081.121.211.080.961.321.471.181.271.351.801.471.471.331.641.591.631.651.631.401.421.441.341.251.441.361.340.920.780.86
80.2378.4090.8687.6382.1482.4599.7490.5491.5684.3381.9969.7070.9769.2873.5068.6679.2285.1791.3379.1580.0085.0190.4383.4190.8683.2793.9787.1082.8375.0779.6377.1890.1483.0080.6374.5683.1393.6168.2361.2976.1070.7366.7749.8761.2561.3367.8855.0156.6855.3854.6855.2964.2363.5962.6667.1672.0762.5166.2767.2398.04116105
0.700.31-1.32-1.210.470.30-1.31-2.511.480.830.761.222.641.941.401.690.96-0.481.292.612.472.070.452.182.201.120.475.631.640.42-2.352.160.46-0.28-0.091.902.052.191.562.37---1.96---1.80---1.46---0.25---0.23---
2.871.39-6.32-5.942.371.71-8.67-18.5710.969.2512.6610.7410.625.144.035.461.87-0.982.675.765.815.261.297.3910.276.843.7264.40-21.22-2.9514.08-10.78-2.781.230.354.645.335.633.135.004.254.173.584.374.734.332.695.007.091.580.911.651.221.090.290.290.560.860.440.260.400.43-0.91
0.370.16-0.69-0.650.250.16-0.67-1.290.770.430.390.651.431.040.750.900.51-0.350.921.781.611.330.281.371.300.640.263.070.840.21-1.141.000.21-0.13-0.041.321.391.461.111.651.331.451.211.391.531.270.741.251.640.340.631.140.840.740.190.200.380.590.300.170.260.29-0.61
0.700.21-0.89-0.820.320.20-0.88-1.670.990.550.761.221.841.330.951.140.64-0.481.292.472.261.880.401.821.730.860.364.171.190.30-1.601.370.31-0.18-0.061.902.052.191.562.371.932.061.701.962.171.801.051.802.330.480.811.461.080.950.250.250.490.770.390.230.350.38-0.79
26.5926.1525.8826.1126.1225.7425.3525.2625.4324.6724.3325.9625.3324.2323.4222.6121.7220.7620.6220.0619.2718.5717.7316.8515.6315.0114.7814.4212.4612.0011.8211.7811.7111.4411.4511.3011.0611.1411.2010.8910.6410.539.989.9710.059.589.379.178.948.638.668.538.378.198.078.037.957.857.707.587.667.567.47
2.832.361.094.013.131.880.281.69-0.10-0.55-0.334.843.562.741.244.252.501.710.583.382.561.250.632.561.381.020.480.640.531.010.771.350.700.470.621.050.160.280.311.780.930.690.031.541.130.600.121.150.810.550.210.920.430.210.090.610.320.410.271.440.750.19-0.05
2.241.960.903.092.421.410.060.66-0.83-1.01-0.574.233.192.511.133.732.111.400.513.012.271.030.511.980.910.640.240.250.290.850.700.990.430.300.500.840.000.170.281.450.660.49-0.041.200.910.440.020.710.530.430.170.660.230.070.020.410.170.310.211.330.690.13-0.10