U.S Physical Therapy Financial Ratios for Analysis 2009-2024 | USPH

Fifteen years of historical annual and quarterly financial ratios and margins for U.S Physical Therapy (USPH).

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
2.281.301.140.941.411.891.952.683.172.152.142.782.802.762.24
0.230.360.280.060.170.150.220.210.220.170.210.120.160.050.00
0.310.580.400.080.210.180.290.270.290.210.270.130.200.050.02
20.0920.2523.6722.3323.3422.4021.8923.0023.6524.9724.5025.2024.1326.5225.68
8.6110.2714.2712.3913.9913.2913.2213.8914.2815.0014.6815.3813.5715.7114.03
8.6110.2714.2712.3913.9913.2913.2213.8914.2815.0014.6815.3813.5715.7114.03
14.1714.6416.6214.8816.0815.4415.5616.3516.6817.2116.7917.5015.9318.4016.96
8.1610.0514.7915.4914.7113.268.1510.7012.1112.5614.4815.1615.7115.8813.86
4.675.818.258.328.317.685.385.766.226.274.827.189.067.415.84
0.610.640.660.710.861.020.991.021.091.251.181.451.421.501.81
---------------
8.678.067.938.308.608.828.228.598.588.878.089.027.738.018.52
42.0845.2746.0243.9642.4541.4144.4042.4742.5541.1545.1540.4647.2145.5642.82
7.8013.6919.4918.9123.6922.5213.4513.9215.3715.1417.2219.7821.9421.2221.66
-26.24-15.19-25.87-42.23-44.54-38.92-24.27-34.48-49.64-451.47-350.5911913983.3068.82
3.735.067.738.8310.2111.026.627.488.7210.3511.6015.5116.3417.5417.93
6.048.8113.9717.8419.6119.1310.5510.9812.0112.5313.5717.5018.3520.2221.56
31.8524.3923.0221.6018.9217.1016.3615.0713.8713.6212.4811.3010.399.977.94
5.784.515.927.794.905.764.504.083.033.393.713.302.732.572.62
5.123.875.297.204.105.203.943.432.532.973.362.952.462.342.30

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
1.882.162.282.772.821.301.301.391.431.081.140.971.060.830.940.891.052.091.411.471.881.181.891.932.061.671.952.042.262.312.682.532.432.813.172.982.562.612.152.592.272.802.142.712.383.222.782.952.753.772.803.353.011.632.762.532.802.642.242.282.812.81
0.220.220.230.220.230.360.360.320.330.290.280.110.120.060.060.030.120.330.170.190.220.120.150.200.210.170.220.230.270.250.210.160.180.210.220.200.190.190.170.220.220.230.210.090.100.130.120.110.130.160.160.180.120.040.050.000.030.100.000.040.110.13
0.300.300.310.300.310.600.580.480.500.410.400.120.140.080.080.050.150.490.210.240.290.140.180.280.290.230.290.310.390.330.270.190.220.280.290.260.240.240.210.290.280.300.270.100.120.150.130.120.160.200.200.220.140.050.050.000.040.120.020.050.140.17
20.2518.2419.7118.6221.2620.7819.7119.1921.9120.1920.9423.6727.0323.0524.7927.8723.0013.9222.0823.3424.8722.9921.4923.0523.5921.4322.1120.5723.5321.2620.6822.2625.5023.5824.8022.4525.3821.8023.8624.1227.9223.8623.5224.5026.3023.6623.5124.8726.5725.7818.1623.1228.1926.7225.3327.2128.6524.7424.8825.4427.7324.59
11.739.20-0.5710.5913.2411.454.8110.6714.2811.4112.6813.4517.5113.3715.5018.3012.243.5612.5214.3415.7513.2712.6213.6414.7912.0512.7912.5115.0412.5012.0613.6516.6213.2214.5414.2216.2711.8913.5514.5118.1913.6413.6615.0516.5413.4413.7715.3516.5715.775.8214.5018.1615.3014.6316.3518.4613.2212.1314.1016.3913.40
11.739.20-0.5710.5913.2411.454.8110.6714.2811.4112.6813.4517.5113.3715.5018.3012.243.5612.5214.3415.7513.2712.6213.6414.7912.0512.7912.5115.0412.5012.0613.6516.6213.2214.5414.2216.2711.8913.5514.5118.1913.6413.6615.0516.5413.4413.7715.3516.5715.775.8214.5018.1615.3014.6316.3518.4613.2212.1314.1016.3913.40
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8.859.480.0710.5212.619.693.2311.4913.8611.7514.1614.2517.3613.2019.7518.4022.233.2211.8213.8719.8812.9813.9013.1514.3411.576.149.449.098.0410.6310.0612.699.357.1113.9415.9911.565.2114.2117.7613.2813.4614.8516.3513.2313.6015.1316.3415.5215.3714.2617.9815.1814.5616.2618.3214.2512.0113.9216.1713.23
4.215.171.806.175.804.991.856.857.966.687.877.959.807.2711.0910.0212.200.906.497.7211.577.268.877.168.036.576.735.004.744.945.775.446.655.165.426.927.125.394.256.718.076.065.630.347.355.936.637.357.587.1614.916.878.186.607.787.268.236.294.546.086.995.72
0.160.150.160.150.150.170.160.170.180.170.170.200.200.190.200.190.140.180.220.210.230.220.260.250.260.260.260.250.250.250.260.290.290.280.290.300.310.300.320.310.320.310.310.370.370.350.360.370.370.380.340.360.410.390.380.420.430.390.450.450.450.40
--------------------------------------------------------------
2.192.022.222.102.131.992.062.032.021.952.082.232.342.082.312.211.822.082.182.041.942.092.282.112.132.052.172.041.991.972.192.172.172.142.252.272.302.142.312.182.162.032.102.312.292.052.202.182.101.991.841.981.991.902.022.102.191.972.132.092.121.83
41.0944.6040.5342.8542.2645.1343.7344.4144.4546.1843.2740.4338.4143.2639.0340.7549.3843.3641.3144.2046.3343.1139.4942.5742.2443.8041.5144.1645.2645.7441.0941.5641.4942.0140.0839.6739.0842.0138.9941.3641.6744.4442.8539.0439.3943.8540.8341.1942.9345.2148.8345.4445.1947.4744.5042.8141.0645.7642.1843.0642.4149.23
2.412.41-0.272.483.033.581.064.024.943.964.864.866.134.296.715.935.751.384.975.518.585.606.305.576.224.824.223.303.263.133.452.803.582.841.834.335.013.491.294.555.734.103.844.615.194.164.544.695.525.415.794.806.645.485.465.806.785.174.565.606.815.23
-6.25-6.840.91-8.64-11.96-3.93-1.17-5.71-6.74-5.14-6.45-9.84-11.78-8.46-14.99-12.60-11.44-2.32-9.35-9.85-16.12-10.29-10.90-9.15-11.00-8.95-7.62-5.70-5.31-6.36-8.55-104.28-71.25-37.13-5.92-94.57-69.77-81.88-38.40-73.83-123.38-153.69-78.1425.2136.4726.5627.3826.2934.9930.2436.6028.0927.1123.4421.4419.4624.3720.8914.5017.3022.9817.96
1.141.14-0.131.211.491.320.391.601.921.571.932.242.801.993.132.742.520.522.142.313.552.373.092.613.002.412.081.601.531.561.851.982.451.911.042.923.402.390.882.993.912.772.593.764.193.283.563.774.294.144.313.575.184.234.514.875.653.993.784.505.223.86
1.891.88-0.211.922.352.280.682.763.332.823.484.335.404.056.335.775.080.924.114.476.674.945.364.444.914.003.312.542.372.362.722.372.932.231.433.454.072.821.073.534.493.163.024.194.683.624.014.194.794.534.843.935.825.255.215.796.544.664.545.386.054.53
32.2131.9431.8532.9332.6924.4624.3924.5123.7623.5923.0222.5122.0721.5021.6020.6919.9918.8718.9218.5818.0617.3317.1016.8116.7716.4616.3615.8915.5815.3215.0717.4717.1316.7513.8714.9814.6514.2113.6213.2913.4312.6512.4812.1212.1611.5711.3011.4911.2310.6910.3910.319.649.589.979.158.928.547.947.917.677.45
2.220.295.783.682.830.874.513.172.120.905.924.692.761.377.795.813.771.284.903.642.241.075.764.262.421.234.503.251.761.134.083.112.481.173.032.321.550.253.392.351.720.303.712.381.710.413.302.461.590.442.731.711.070.482.572.001.060.512.622.091.260.54
1.940.175.123.212.500.713.872.611.770.715.294.222.501.257.205.383.401.064.103.061.870.885.203.842.161.123.942.811.511.013.432.672.211.032.531.951.320.132.972.041.550.243.362.131.510.302.952.211.430.362.461.510.950.412.341.851.000.472.301.811.070.41