Universal Health Services Financial Ratios for Analysis 2009-2024 | UHS

Fifteen years of historical annual and quarterly financial ratios and margins for Universal Health Services (UHS).

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
1.401.331.141.321.231.340.971.281.561.371.351.571.631.611.37
0.440.440.400.360.410.420.410.470.440.460.490.570.610.660.35
0.790.810.680.600.710.730.800.900.800.861.001.351.561.930.54
89.2789.0088.7188.8689.0089.1589.3889.4489.2389.0888.8688.5188.0885.3786.56
8.237.4910.7811.7510.6910.9112.3013.1213.9312.9613.7813.5413.2710.3210.01
8.237.4910.7811.7510.6910.9112.3013.1213.9312.9613.7813.5413.2710.3210.01
12.2111.8315.0016.1715.0015.1216.6017.3918.3317.5418.3617.9717.6514.8913.94
6.586.4610.2310.839.379.6010.9011.8412.6711.3311.8010.9710.308.749.13
5.035.047.848.147.147.237.227.197.526.656.936.375.894.704.98
1.020.990.970.860.980.960.970.950.940.910.890.850.880.651.31
7.066.756.906.767.837.898.128.238.398.288.078.088.327.608.30
6.386.647.246.697.297.136.946.786.946.406.606.526.975.858.63
57.2054.9650.4354.6050.0751.1652.6353.8052.5757.0655.3355.9652.3662.4142.28
11.6111.0115.9514.8814.8314.6015.2716.2517.4215.9616.7917.6819.1213.6316.97
31.7731.9644.2837.8248.4249.2262.9091.85105121221-180.58-160.03-48.7128.71
5.154.877.547.077.097.087.177.247.816.746.675.965.863.667.67
6.556.149.569.608.738.499.038.669.788.648.517.537.484.6511.07
92.2484.4680.4875.2664.3459.8353.6147.5843.8438.4033.5728.3424.3020.7718.49
18.0813.4910.5627.5816.1613.6012.9513.5610.6110.308.908.187.215.125.51
7.483.550.3419.039.036.507.168.056.846.415.294.464.312.671.64

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
1.391.281.381.401.381.291.371.331.271.221.071.141.191.201.241.321.121.021.091.231.191.271.181.341.091.301.190.971.261.331.141.281.241.270.971.561.421.431.371.371.391.371.391.351.471.411.561.571.781.651.641.631.651.741.671.611.061.471.371.371.261.341.29
0.410.400.430.440.440.430.440.440.440.440.420.400.370.350.350.360.370.370.410.410.410.430.410.420.400.420.420.410.440.450.440.470.440.440.390.440.420.420.430.460.480.460.470.490.520.530.560.570.560.570.590.610.620.630.640.660.240.310.300.350.300.320.34
0.700.690.770.790.810.770.790.810.800.790.720.680.590.550.550.600.600.610.690.710.720.760.700.730.740.740.740.800.820.840.810.900.810.820.750.800.740.740.790.860.940.870.931.001.111.171.271.351.291.341.451.561.631.681.801.930.510.460.430.540.430.480.52
90.1590.0789.5089.3689.3789.2889.0488.9289.0289.3288.7388.5888.3489.4388.4888.6288.4889.6188.7788.8188.8889.2989.0489.0889.2389.1989.1089.2289.4589.4989.3889.3489.3089.5389.5889.1189.1289.4189.2789.2789.0889.0988.8789.0188.6088.9788.8388.4088.5988.5288.5587.8588.0488.2288.2180.5786.4086.5686.3686.2886.7586.4786.74
9.6911.1710.118.948.017.908.047.588.277.027.079.589.9713.739.8113.4112.0113.128.3611.776.6912.1012.149.439.7112.1012.4212.8210.1212.6413.5512.6911.5213.7114.5513.9012.3514.7414.7014.818.6614.3013.9812.8712.3816.5713.3215.5510.0413.3715.0012.8511.7613.5514.8214.677.919.7010.439.217.8712.5110.42
9.6911.1710.118.948.017.908.047.588.277.027.079.589.9713.739.8113.4112.0113.128.3611.776.6912.1012.149.439.7112.1012.4212.8210.1212.6413.5512.6911.5213.7114.5513.9012.3514.7414.7014.818.6614.3013.9812.8712.3816.5713.3215.5510.0413.3715.0012.8511.7613.5514.8214.677.919.7010.439.217.8712.5110.42
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8.629.788.747.596.196.336.176.457.026.316.079.379.0913.359.0613.0311.1012.306.7411.094.8910.8910.577.538.6511.2511.0211.438.6711.2612.1911.3610.1812.4613.3412.6611.1313.5213.3513.377.0912.5912.1610.9810.6014.4911.1413.227.3510.7012.4010.028.8510.6411.6110.017.048.789.518.397.0311.609.46
6.537.406.815.854.694.834.705.095.474.934.677.356.9110.146.929.978.269.205.018.443.438.328.335.726.478.428.338.305.567.107.897.046.307.637.797.496.758.017.837.944.067.397.126.616.318.276.547.684.276.247.175.895.116.046.494.174.204.905.334.633.946.215.15
0.280.280.270.270.260.260.260.260.250.250.250.250.250.250.230.230.220.220.240.250.240.240.240.240.240.240.240.250.240.250.250.240.250.250.260.240.240.250.250.240.230.240.230.230.220.220.220.220.220.220.230.210.220.230.230.120.310.340.340.330.330.340.34
1.771.771.871.821.761.771.761.751.681.691.781.811.811.731.791.851.901.691.952.032.011.992.052.031.972.062.132.091.972.102.192.102.122.162.192.172.152.212.212.162.132.152.112.032.042.022.072.071.982.042.122.042.082.112.181.842.132.122.192.102.132.242.26
1.791.811.671.651.591.691.711.711.751.811.881.881.791.791.811.791.891.901.901.861.831.781.751.821.721.721.711.761.751.791.801.721.831.811.781.781.681.671.611.701.641.731.601.691.561.601.591.651.611.691.611.681.761.881.871.062.172.162.082.142.172.152.01
50.2949.6853.8454.3956.4453.3652.7552.6851.3349.7047.9648.0050.3150.3249.8450.4147.6147.4347.2948.5049.2450.4851.4349.3352.4452.2752.5751.1151.4150.2049.8752.3349.1449.7950.5050.6353.6753.8455.9753.0554.7252.0256.3053.3357.8056.3856.4854.4255.8453.2756.0553.6951.1647.9748.1884.5941.4341.6243.3542.0041.4341.8344.77
3.984.494.223.542.752.762.682.862.992.692.533.783.454.953.174.814.044.452.634.451.854.424.282.993.224.284.334.452.953.904.383.893.524.474.964.443.904.894.905.022.634.634.414.043.895.514.505.343.064.545.754.604.185.206.082.513.313.964.003.863.004.874.46
9.7911.2811.189.707.667.707.598.298.717.977.5010.498.8512.197.7012.2211.1913.328.7614.516.1714.8814.0010.0911.0214.6515.8518.3513.1117.7220.7721.9718.5424.9928.5226.8320.3225.0229.1438.1126.6132.6638.8953.0299.846,799-84.01-54.52118-559.85-94.44-38.51-28.15-31.02-28.43-8.985.246.386.216.534.787.877.43
1.852.091.891.571.211.231.201.261.321.191.151.791.712.541.602.281.882.111.242.130.872.052.031.451.552.082.072.091.371.802.011.731.632.052.261.991.782.222.142.121.071.951.801.601.472.021.561.801.051.511.831.411.251.531.710.681.541.922.071.751.512.452.14
2.352.682.412.001.541.581.511.591.681.511.482.262.183.232.073.102.562.781.572.621.082.532.531.741.922.492.522.631.642.152.462.071.962.483.022.492.272.842.772.721.372.502.322.051.872.571.982.271.331.942.351.801.591.942.170.862.532.722.802.522.093.312.95
10198.1994.2292.2489.4688.3286.2484.4682.6880.9180.1680.4879.2279.0677.4675.2671.0267.8264.5964.3462.3961.7561.6059.8359.2257.7455.9953.6151.9550.9949.6647.5846.0444.8644.8443.8442.5941.6240.0138.4036.9536.3034.8733.5732.1831.0029.4528.3427.4026.7325.6024.3023.5022.8421.9020.7720.4419.8621.2818.4920.0019.6418.71
20.6815.845.7918.0811.719.234.0713.499.566.425.8610.566.711.400.8427.5826.0217.065.8116.1612.517.544.7513.6010.176.444.3312.959.165.504.9613.5611.568.504.8110.617.875.272.7010.306.834.571.948.905.783.941.818.185.483.821.307.215.713.581.855.124.222.321.435.514.923.071.55
10.449.212.747.484.004.481.713.551.770.943.230.34-1.25-4.24-2.0519.0319.6112.893.689.037.073.912.886.504.592.262.247.164.522.803.388.057.535.983.526.845.213.581.816.413.762.711.025.292.972.170.844.462.591.950.354.313.722.411.282.672.401.080.791.642.091.200.75