Select Medical Holdings Financial Ratios for Analysis 2009-2024 | SEM

Fifteen years of historical annual and quarterly financial ratios and margins for Select Medical Holdings (SEM).

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
1.011.100.901.111.331.411.521.331.031.341.221.221.260.861.52
0.700.740.730.730.790.780.740.750.700.670.640.660.620.610.65
2.382.882.732.723.713.622.933.022.662.031.782.001.671.781.83
13.9911.5814.8214.8514.9114.5714.4313.0914.1915.7516.1417.1417.6817.0718.76
8.336.3711.5010.268.658.218.157.117.349.2810.1311.4211.089.8810.53
8.336.3711.5010.268.658.218.157.117.349.2810.1311.4211.089.8810.53
11.509.6514.8114.0212.7612.4412.0710.9310.4011.7612.5813.8313.9113.1313.77
5.744.1110.158.254.854.644.644.295.576.656.658.266.555.195.20
3.652.516.484.682.722.714.062.743.493.943.764.943.803.232.33
0.870.830.840.720.740.850.850.860.851.051.061.071.010.880.87
---------------
6.926.516.576.136.986.996.047.196.036.637.608.116.636.537.04
52.7556.0855.5959.5552.2952.2460.4650.7360.4955.0448.0045.0355.0855.9151.86
19.3714.6037.7127.5021.6419.3123.6613.8314.9716.5315.0320.6413.3210.1010.25
-13.06-7.99-20.01-13.71-7.00-6.23-10.14-5.73-7.88-13.64-13.73-15.92-13.15-9.19-9.35
3.902.586.794.502.742.974.302.553.104.384.375.574.073.033.05
5.843.8110.247.424.624.256.113.494.435.535.486.985.053.933.63
12.0610.679.909.296.926.776.956.836.925.915.845.305.835.284.81
4.472.293.267.923.423.791.842.711.631.321.402.151.440.911.93
2.710.822.017.442.212.560.662.070.200.580.891.781.190.591.27

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
1.131.091.221.011.091.101.111.101.020.981.050.901.341.331.191.111.211.091.181.331.211.211.191.411.491.621.661.521.511.531.571.331.461.541.641.031.341.541.451.341.291.451.401.221.281.371.251.221.321.281.391.261.311.301.030.860.881.351.461.521.521.311.38
0.580.680.700.700.710.710.730.740.740.740.730.730.710.700.710.730.740.740.780.790.790.770.780.780.790.770.780.740.770.740.760.750.710.730.740.700.730.740.660.670.670.680.690.640.650.660.660.660.590.600.620.620.620.620.610.610.600.610.630.650.690.810.82
1.392.152.352.382.472.522.762.882.872.892.752.732.502.342.522.722.792.903.663.713.703.403.623.623.783.393.652.933.422.963.163.022.522.702.872.662.722.901.982.032.042.182.221.781.871.971.952.001.471.531.641.671.661.681.751.781.721.721.791.832.444.344.73
13.4714.8716.4512.7713.4014.9814.7810.9211.1012.2512.0410.0815.4217.4316.3614.6517.0612.1915.1514.4715.0915.5114.5413.5414.2315.5414.9413.4712.8116.5314.886.8813.1016.4615.2613.1711.7716.1416.4714.9415.0016.8116.2415.9014.6017.3116.6716.3016.0718.3317.8016.5316.1818.4719.5915.1115.2218.9419.2318.6317.7619.0419.56
8.018.9710.846.897.809.519.105.495.837.636.504.979.7918.1613.0611.1810.979.709.108.178.829.178.436.987.889.308.676.986.6910.498.415.705.339.217.986.004.729.589.977.498.7110.6410.299.158.6311.6611.0010.929.9212.4712.3110.309.8111.6012.647.687.1312.5212.4212.196.0311.6912.05
8.018.9710.846.897.809.519.105.495.837.636.504.979.7918.1613.0611.1810.979.709.108.178.829.178.436.987.889.308.676.986.6910.498.415.705.339.217.986.004.729.589.977.498.7110.6410.299.158.6311.6611.0010.929.9212.4712.3110.309.8111.6012.647.687.1312.5212.4212.196.0311.6912.05
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6.127.228.594.444.607.216.692.933.475.434.623.708.3416.7411.799.409.557.376.534.024.085.945.423.234.486.304.493.963.617.593.362.490.486.777.083.205.017.177.605.106.107.997.406.505.676.567.828.045.799.669.437.176.593.528.943.692.427.507.316.230.116.317.98
3.164.415.422.792.894.674.251.741.733.483.073.205.0110.547.155.415.404.053.762.412.133.293.081.952.603.592.699.211.713.811.452.060.613.095.042.922.884.164.293.553.504.454.233.793.153.594.495.213.325.665.505.073.651.664.813.261.364.214.134.98-1.122.372.94
0.220.220.230.220.220.220.220.210.210.210.210.210.190.200.200.190.190.170.200.190.190.190.190.210.210.220.210.210.210.220.220.200.220.230.220.240.240.200.270.260.260.270.260.260.250.270.270.270.260.270.270.260.250.250.250.230.220.220.220.220.200.220.22
---------------------------------------------------------------
1.651.621.561.721.721.711.641.631.691.641.631.651.681.671.601.621.641.631.711.761.701.691.681.741.651.641.511.511.501.541.571.671.741.791.741.681.771.401.611.671.821.701.631.911.691.721.752.041.811.751.601.701.711.611.581.741.741.681.621.801.681.651.53
54.6155.5757.5552.2552.2552.7454.8255.3853.2954.7655.2654.5253.6353.9056.1855.6154.7555.3752.7451.1552.8153.1653.5151.7554.4454.8659.4559.4859.8758.3157.2253.9651.6050.3351.8053.7250.8764.2955.8353.9149.3652.8655.2047.2053.2152.2651.4344.1849.6951.3456.3353.0252.5555.8657.0451.7051.7653.5755.5649.9453.4854.6358.75
3.575.557.153.993.996.126.012.782.865.084.095.007.3513.5310.168.168.575.767.234.704.866.025.773.244.815.984.5612.983.035.442.632.260.384.026.182.853.764.694.613.553.715.104.683.803.153.794.765.552.735.004.884.413.071.594.172.691.043.163.214.070.20-15.03-17.51
-5.07-4.44-5.32-2.69-2.62-3.94-3.53-1.52-1.52-2.61-2.27-2.65-4.15-8.45-5.66-4.07-4.11-2.58-2.50-1.52-1.52-2.14-1.89-1.05-1.49-2.20-1.58-5.56-1.09-2.38-1.06-0.94-0.20-2.08-2.96-1.50-1.87-2.27-4.07-2.93-2.98-3.92-3.50-3.47-2.76-3.23-3.92-4.28-3.22-5.56-5.12-4.35-3.14-1.63-4.09-2.44-0.99-3.34-3.15-3.71-0.16-1.71-2.16
1.011.201.490.800.791.191.110.490.500.880.740.901.272.471.731.341.360.900.990.590.620.840.760.500.711.020.742.360.481.020.470.420.080.841.240.590.760.921.250.940.991.311.181.100.891.051.311.500.901.611.521.350.960.491.260.800.320.980.981.210.050.801.02
1.511.792.171.201.171.771.640.730.751.321.101.362.114.062.902.202.271.481.561.001.041.381.260.711.021.380.993.350.691.390.640.570.111.101.600.841.021.221.571.191.241.621.471.391.111.301.641.881.122.001.871.671.170.601.631.040.411.231.191.440.060.971.23
17.5213.1312.7612.0611.8711.7911.1510.6710.5010.3110.379.9010.1710.7410.029.299.048.757.286.926.757.406.846.776.577.537.206.956.137.106.726.838.017.737.396.926.666.506.175.915.835.745.615.845.735.655.545.306.596.416.135.835.735.585.505.285.205.174.994.814.361.931.82
3.151.71-0.544.473.262.330.422.292.231.430.053.263.542.781.847.926.325.310.343.422.051.020.323.792.921.670.391.841.010.31-0.432.712.191.390.871.631.590.590.291.321.200.33-0.121.400.840.16-0.092.151.410.860.061.440.950.55-0.030.910.690.37-0.101.931.510.94-0.34
1.910.85-0.962.711.901.37-0.060.821.170.72-0.312.012.662.271.547.446.154.750.122.211.100.33-0.102.562.041.090.090.66-0.34-0.24-0.832.071.270.770.500.200.700.050.080.580.62-0.07-0.320.890.51-0.04-0.191.781.200.770.091.190.790.44-0.120.590.450.20-0.181.270.960.62-0.46