Owens & Minor Financial Ratios for Analysis 2009-2024 | OMI

Fifteen years of historical annual and quarterly financial ratios and margins for Owens & Minor (OMI).

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
1.111.471.731.591.701.721.671.901.861.931.741.762.082.021.92
0.670.720.500.580.770.760.470.370.360.380.170.180.190.200.21
2.272.641.011.383.263.180.890.590.570.610.210.220.230.240.27
20.5618.3515.4615.1012.2511.3712.5812.2112.4312.3912.3110.439.949.9410.13
1.011.443.772.410.79-3.740.962.052.051.692.182.222.362.412.50
1.011.443.772.410.79-3.740.962.052.051.692.182.222.362.412.50
3.793.734.693.512.062.011.602.622.732.362.742.672.752.772.82
-0.530.112.831.30-0.31-4.530.621.771.771.342.042.072.202.242.34
-0.400.222.260.35-0.68-4.640.771.111.050.701.211.221.321.351.30
2.031.852.772.542.532.502.763.583.523.453.904.004.434.464.60
7.396.105.535.847.056.558.239.329.109.4810.3110.409.6410.1610.47
17.2713.0414.3612.1013.6512.4512.2816.0416.6215.0815.8416.5017.0317.2216.14
21.1327.9925.4230.1626.7429.3329.7322.7521.9624.2123.0522.1221.4421.1922.62
-4.472.3723.6112.37-4.89-76.137.1711.3310.426.7110.8211.2012.5312.9015.19
3.84-1.9765.4511810.4518862.1123.5221.6514.4915.6316.6017.7618.8923.65
-0.810.426.272.64-0.62-10.462.164.003.732.434.774.925.926.076.69
-1.470.6511.755.19-1.15-18.223.807.146.624.168.969.1710.1810.3711.95
12.0712.4012.449.697.358.3216.5215.7315.8015.7116.2515.3914.4913.5212.23
9.774.261.655.342.741.930.953.074.35-0.062.243.481.092.293.51
8.202.821.104.552.041.210.382.834.02-0.841.843.370.731.853.26

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
1.091.161.111.231.341.391.471.521.551.541.731.681.671.651.591.471.631.631.701.741.681.751.721.711.771.651.671.771.901.931.901.851.891.881.861.811.751.811.931.821.711.721.741.691.651.691.761.742.162.172.082.012.031.962.021.931.931.961.921.881.831.79
0.690.690.670.700.720.720.720.720.730.740.500.520.540.560.580.710.760.780.770.760.770.770.760.670.680.470.470.480.370.370.370.360.360.360.360.370.370.370.380.360.180.170.170.180.180.180.180.180.180.180.190.190.190.190.200.200.200.210.210.220.230.23
2.422.412.272.382.582.562.642.632.682.781.011.081.191.251.382.443.213.573.263.163.273.363.182.072.080.880.890.910.580.580.590.570.570.560.570.580.590.590.610.760.210.210.210.210.220.220.220.220.220.230.230.240.240.240.240.250.250.260.270.280.290.31
20.3720.5021.4620.7820.2619.7115.9620.5521.3015.5213.8413.1416.0719.0316.8715.7414.9012.6513.0012.2412.0611.773.2214.3013.2213.6913.1912.9412.0712.0812.4612.2712.0612.0812.5512.3912.3212.4512.6012.2612.2412.4612.5612.0412.2312.4211.8510.469.679.669.759.9510.149.9210.049.889.8510.0011.2110.049.829.42
0.760.372.260.920.420.39-2.102.413.002.542.512.513.896.314.053.451.230.510.661.140.670.71-10.640.87-7.001.02-0.371.271.451.532.072.222.101.832.332.171.981.711.641.481.612.052.202.172.242.131.972.142.432.341.962.692.392.401.902.682.582.502.732.792.432.05
0.760.372.260.920.420.39-2.102.413.002.542.512.513.896.314.053.451.230.510.661.140.670.71-10.640.87-7.001.02-0.371.271.451.532.072.222.101.832.332.171.981.711.641.481.612.052.202.172.242.131.972.142.432.341.962.692.392.401.902.682.582.502.732.792.432.05
--------------------------------------------------------------
-0.63-1.040.79-0.42-1.21-1.34-3.740.781.542.002.022.023.393.962.912.440.28-0.82-0.350.07-0.46-0.49-11.68-0.10-7.750.59-0.770.901.151.241.791.941.821.552.051.891.701.431.340.681.461.912.062.022.091.991.822.002.272.181.802.532.252.231.722.502.412.332.582.632.271.88
-1.19-0.840.67-0.25-1.10-0.97-2.270.501.141.631.701.762.652.992.152.11-3.08-0.53-1.780.05-0.44-0.60-12.32-0.02-7.440.330.950.450.880.801.131.221.100.971.281.130.990.790.560.290.861.121.201.221.281.151.081.121.371.311.081.521.361.341.051.511.441.401.601.691.170.72
0.500.500.520.510.480.480.470.450.450.420.700.700.690.690.710.660.580.570.600.620.610.610.560.610.610.700.710.700.810.860.870.860.900.880.900.900.870.890.910.810.980.951.000.970.940.971.030.981.121.151.131.121.121.111.141.121.121.131.171.201.191.16
1.731.811.881.891.751.571.611.321.291.411.421.441.371.421.591.681.481.671.661.751.691.711.611.751.752.002.102.051.982.162.262.242.282.332.312.412.352.392.502.512.472.572.632.542.472.652.642.512.642.772.462.582.552.622.592.542.562.652.632.692.612.51
4.033.904.443.803.813.333.343.323.363.103.623.293.373.163.373.182.853.183.253.092.822.792.802.832.873.053.153.193.463.853.914.174.083.994.233.864.174.003.984.044.234.154.053.974.063.874.253.744.504.444.334.294.224.084.394.124.324.124.103.994.033.81
22.3223.0820.2723.7123.6127.0326.9427.1026.7829.0124.8627.3326.7028.4826.7028.3431.5528.3127.7229.1131.9432.2932.0931.7731.3629.5228.5828.2626.0323.3923.0321.5722.0822.5721.2723.3321.5822.4822.6222.2621.2821.6722.2422.6522.1623.2821.1624.0719.9820.2520.7720.9721.3022.0720.5121.8620.8521.8521.9722.5422.3623.64
-3.71-2.451.92-0.72-3.15-2.64-6.131.292.984.154.474.987.778.857.1310.210.04-2.14-1.160.70-1.96-2.18-42.34-0.07-22.780.802.261.082.031.942.823.022.782.403.232.862.481.961.410.711.932.472.732.782.922.672.562.563.173.142.603.683.263.262.543.763.613.514.174.653.893.21
2.902.02-1.650.572.472.145.10-1.11-2.47-3.2612.4015.1927.8142.7268.00-24.17-0.063.662.48-1.654.394.901050.1964.616.5419.6213.314.113.985.866.195.684.916.716.035.334.243.051.032.773.553.944.054.263.923.803.904.434.413.695.244.674.723.725.585.445.376.487.396.385.36
-0.60-0.420.35-0.13-0.53-0.46-1.080.230.510.691.191.231.832.051.521.400.01-0.24-0.150.09-0.25-0.28-5.82-0.01-4.520.240.680.330.720.701.001.071.010.861.161.020.870.700.510.240.841.081.201.191.211.121.131.111.541.531.231.711.531.501.201.711.631.591.832.041.641.33
-1.17-0.770.63-0.21-0.88-0.74-1.690.360.811.102.232.393.553.942.992.970.01-0.47-0.270.17-0.46-0.50-10.13-0.02-7.390.431.200.571.281.221.781.921.771.532.051.811.561.230.870.461.592.042.262.292.402.192.102.092.592.562.122.982.632.642.043.012.882.783.283.643.012.46
11.1711.7112.0711.5911.7212.1312.4012.6912.5912.4512.4411.7611.2510.479.697.086.206.627.357.827.897.978.3212.7312.8716.4816.5216.3916.2315.8515.7315.9915.9416.0015.8015.6715.5115.3415.7115.9716.3516.3816.2515.9315.6315.4315.3915.1514.9614.7314.4914.3014.0513.8213.5213.1912.8512.5412.2311.8611.4111.17
0.82-0.699.778.256.222.114.263.122.221.051.650.970.160.365.344.402.461.542.742.320.49-1.011.932.050.770.300.950.09-1.38-0.443.072.370.700.734.353.323.972.71-0.061.311.181.502.242.572.862.463.482.712.271.621.091.720.630.712.293.432.922.243.512.601.991.34
0.52-0.658.207.115.471.722.822.071.480.921.100.62-0.030.294.554.052.321.462.041.800.14-1.201.211.510.440.190.38-0.31-1.64-0.602.832.220.630.724.023.083.792.59-0.840.730.771.381.842.202.602.353.372.642.191.550.731.450.500.641.853.152.702.143.262.411.841.26