Option Care Health Financial Ratios for Analysis 2009-2024 | OPCH

Fifteen years of historical annual and quarterly financial ratios and margins for Option Care Health (OPCH).

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
1.771.761.551.511.691.951.771.331.201.151.342.171.321.221.71
0.430.430.470.520.580.471.220.921.050.660.510.430.510.53-
0.750.770.911.111.420.89-5.6711.77-23.281.951.230.771.361.530.20
22.8121.9822.6722.5022.2021.7724.4028.0126.4727.1829.6733.0138.8537.2711.87
7.316.095.553.65-0.011.971.49-1.17-29.47-10.60-3.771.134.611.751.16
7.316.095.553.65-0.011.971.49-1.17-29.47-10.60-3.771.134.611.751.16
8.867.867.706.402.694.253.741.61-26.79-7.66-0.543.416.604.011.54
8.345.223.39-0.17-3.38-0.45-0.80-3.65-33.23-15.04-10.11-3.270.00-4.411.02
6.213.824.07-0.27-3.29-0.320.21-5.54-31.55-15.98-10.0010.901.42-16.054.07
1.341.271.231.150.891.363.031.551.851.120.740.920.820.654.63
12.1213.7214.5214.8215.5118.2136.3318.6216.8018.0514.2611.6818.844.0622.25
11.3910.4510.179.247.126.2521.388.5810.097.014.044.602.462.228.88
32.0434.9335.9039.5251.2558.3617.0842.5636.1852.0890.2479.4014816441.10
18.7910.8611.90-0.80-8.37-1.01-4.58108377-69.15-20.20-4.18-0.20-33.8234.72
-192.61-88.72-43.301.858.392.45-0.8210.0991.8642.3530.6716.400.3643.9141.20
8.304.845.01-0.31-2.93-0.430.64-5.98-57.44-18.18-7.65-1.91-0.06-10.1918.84
10.786.166.26-0.38-3.48-0.540.98-7.67-81.12-23.60-9.82-2.37-0.10-15.9234.72
8.147.626.545.655.144.23-2.661.30-1.0412.6320.8220.5815.6314.7915.71
2.061.471.150.700.250.170.27-1.82-3.74-1.84-3.381.911.98-1.702.29
1.851.361.010.560.07-0.010.09-2.06-4.44-2.64-4.971.151.40-2.241.71

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
1.731.771.771.771.791.791.661.761.621.581.591.551.671.601.581.511.561.621.591.691.711.531.481.951.791.911.701.771.911.851.451.331.131.961.171.201.361.381.461.151.591.901.971.341.662.761.432.171.952.241.351.321.291.271.271.222.132.372.331.711.621.541.51
0.440.440.430.430.420.420.440.430.440.450.460.470.500.510.520.520.540.600.590.580.581.171.130.471.081.061.031.221.000.970.940.920.900.891.071.051.000.970.620.660.600.570.560.510.510.360.440.430.440.430.510.510.520.530.520.530.540.550.55----
0.780.790.740.750.740.720.790.770.800.830.870.911.031.071.111.111.181.481.481.421.37-6.98-8.600.89-13.73-16.74-31.11-5.6733235.6817.8111.779.628.11-16.04-23.28-1,257.4728.511.621.951.521.331.261.231.120.560.880.770.800.871.361.361.351.341.361.531.201.231.250.200.350.320.36
20.0820.3220.8121.9823.2623.4622.5422.5021.3522.1121.9422.8922.7623.1321.7922.8422.2822.4522.4024.3722.3720.3920.6118.0621.9234.1132.6520.6933.5031.0029.7829.6127.8727.6026.9426.6526.3926.2526.5829.0726.2526.4527.2120.5032.3433.5330.9128.0934.0534.0234.3937.0340.0839.3939.2516.1217.0917.8411.6212.2812.4411.6811.05
6.666.576.027.527.427.706.566.645.956.025.706.555.935.593.835.514.423.131.231.94-1.90-1.611.142.452.581.01-1.952.910.17-0.76-2.82-2.78-1.940.56-0.53-3.26-7.90-103.58-2.54-25.60-11.97-2.60-4.71-13.61-0.36-1.53-1.21-3.111.991.742.607.313.243.403.96-0.812.773.28-1.88-0.192.001.581.31
6.666.576.027.527.427.706.566.645.956.025.706.555.935.593.835.514.423.131.231.94-1.90-1.611.142.452.581.01-1.952.910.17-0.76-2.82-2.78-1.940.56-0.53-3.26-7.90-103.58-2.54-25.60-11.97-2.60-4.71-13.61-0.36-1.53-1.21-3.111.991.742.607.313.243.403.96-0.812.773.28-1.88-0.192.001.581.31
---------------------------------------------------------------
5.755.874.977.026.4114.555.346.315.104.864.515.074.323.78-0.212.290.31-0.97-2.67-2.06-6.37-3.83-1.081.550.44-8.58-7.683.81-6.54-13.04-8.63-2.32-4.75-3.51-4.09-7.03-11.74-107.26-6.29-31.32-16.10-6.29-9.10-18.90-12.47-5.31-4.78-8.81-1.83-2.52-1.623.42-1.64-1.34-1.094.730.931.28-2.830.331.861.451.13
4.214.323.915.095.1510.703.864.633.803.463.318.143.983.70-0.382.220.21-1.04-2.82-2.19-6.95-2.74-0.782.330.36-10.18-9.306.16-7.83-14.67-10.15-6.71-6.05-4.50-4.91-8.62-7.62-100.77-8.71-31.07-16.72-8.02-10.58-12.18-17.88-5.15-4.496.44-6.7746.03-1.744.240.41-1.772.25-14.890.450.76-2.1411.911.721.331.01
0.370.370.350.350.340.320.320.330.330.330.320.330.320.320.290.300.290.280.270.280.240.830.800.770.850.310.291.980.340.360.360.400.380.430.470.460.440.430.290.250.270.280.270.160.210.230.270.170.260.230.230.230.210.200.200.680.590.570.471.191.391.421.43
3.293.473.753.203.343.113.153.553.403.303.293.913.633.803.423.923.913.853.934.704.3814.2413.7710.8316.694.582.7324.884.765.225.014.674.855.195.984.166.774.304.283.905.055.275.013.534.254.425.482.363.074.847.415.542.111.971.855.685.526.264.905.696.105.997.42
2.982.622.002.982.852.702.572.722.802.702.502.742.512.542.342.452.442.312.092.221.834.213.943.554.351.811.9113.952.232.121.992.202.172.362.342.502.041.881.791.561.361.301.230.891.071.101.150.861.201.060.640.700.630.650.642.322.372.131.872.282.262.402.25
30.1934.3445.0530.2331.5333.3835.0133.0832.1133.2936.0032.8335.8935.3838.3936.7236.9538.9043.0240.5149.1421.3722.8225.3420.7049.6247.086.4540.4142.5445.2440.8941.5638.1938.4135.9544.1247.9250.3357.8666.3569.3773.3710284.2781.8678.5710475.0984.5614012814313814138.7138.0442.1748.1439.4539.7637.5639.95
3.783.763.134.023.917.752.903.432.902.642.486.423.233.01-0.281.760.17-0.88-2.29-1.74-4.647.792.373.35-1.4112.9312.96-77.2916.7445.9240.5820.8345.6845.9610.6722.4340.04566-8.47-30.83-14.08-5.91-7.59-8.50-6.41-2.32-2.94-1.82-0.21-1.46-0.941.19-0.16-0.81-0.50-12.210.741.20-2.8027.555.104.183.30
-40.87-36.00-34.35-41.23-46.52-131.76-19.12-28.01-17.75-13.55-10.91-23.36-5.26-4.400.38-4.09-0.210.832.131.754.793.020.85-8.10-0.433.683.25-13.913.377.735.291.953.123.162.885.477.7774.685.3418.8812.786.869.9312.918.8228.985.787.150.7212.081.74-2.200.231.110.6815.85-2.18-3.797.3632.696.525.464.38
1.571.581.381.781.743.441.251.531.261.141.052.701.271.17-0.110.670.06-0.29-0.76-0.61-1.66-2.27-0.621.410.31-2.67-2.2110.86-2.21-4.75-3.22-1.16-1.86-1.53-1.94-3.42-4.35-42.43-2.05-8.11-4.56-2.11-2.81-3.22-2.56-1.24-1.27-0.83-0.09-0.64-0.300.38-0.05-0.25-0.16-3.680.260.44-1.0014.942.391.891.45
2.132.111.802.312.254.521.631.941.621.451.333.381.601.46-0.130.840.08-0.36-0.93-0.72-1.96-3.06-0.831.780.39-3.27-2.7916.62-2.73-5.96-4.07-1.48-2.56-1.89-2.67-4.83-5.99-56.52-2.56-10.52-5.63-2.54-3.36-4.13-3.16-1.48-1.65-1.03-0.12-0.82-0.460.58-0.08-0.38-0.24-5.740.340.54-1.2527.555.104.183.30
8.388.238.228.148.138.207.517.627.357.076.796.546.105.875.665.655.324.914.935.145.23-2.33-1.884.23-1.14-0.92-0.48-2.660.050.420.881.301.541.73-1.54-1.04-0.020.8615.0512.6316.2318.3719.5120.8221.7923.6820.1320.5819.9820.8715.4615.6315.1114.9315.0814.7919.8019.6119.3415.7111.4810.7910.29
1.670.73-0.392.061.771.430.491.471.220.750.181.150.790.510.100.700.550.300.100.250.100.160.060.170.09-0.64-0.160.27-0.30-0.17-0.37-1.82-1.34-1.18-0.64-3.74-3.88-2.69-1.63-1.84-1.85-1.81-1.52-3.38-2.25-1.36-0.901.911.781.550.181.982.892.842.34-1.590.43-1.52-2.092.211.392.171.59
1.520.64-0.421.851.651.360.461.361.130.700.151.010.720.470.080.560.480.250.070.070.100.100.06-0.01-0.06-0.85-0.240.09-0.50-0.31-0.43-2.06-1.48-1.42-0.71-4.44-4.47-3.03-1.75-2.64-2.51-2.21-1.70-4.97-3.42-2.02-1.151.151.381.290.071.402.582.512.27-2.09-0.06-1.83-2.231.650.941.771.48