Ramsay Health Care financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
$767.66M $1.14B $1.98B $2.10B $2.67B $3.22B $3.40B $3.73B $3.96B $4.18B $4.91B $7.36B $8.69B $8.70B $9.18B $11.55B $12.16B $12.86B $13.31B $14.96B $0.00M
GM % Gross Margin %
13.72% 12.68% 12.76% 13.09% 12.89% 12.78% 13.79% 13.27% 14.01% 14.32% 14.14% 14.35% 13.96% 14.34% 13.35% 13.30% 13.01% 12.36% 10.43% 11.01% 0.00%
OM Operating Margin
10.03% 9.41% 9.73% 10.01% 9.56% 9.31% 9.76% 9.71% 10.30% 10.80% 10.69% 10.19% 9.65% 10.04% 9.07% 9.10% 5.67% 5.37% 3.46% 4.41% 0.00%
EPS Earnings Per Share
$0.30 $0.46 $0.54 $0.60 $0.73 $0.83 $0.99 $1.16 $1.36 $1.64 $1.97 $2.31 $2.61 $2.80 $2.86 $1.56 $1.93 $1.16 $1.43 $0.00
Div. Dividends
$0.17 $0.20 $0.24 $0.29 $0.33 $0.38 $0.44 $0.52 $0.60 $0.71 $0.85 $1.01 $1.19 $1.35 $1.44 $1.52 $0.63 $1.52 $0.97 $0.75 $0.00
PR % Payout Ratio %
53.13% 66.67% 52.17% 53.70% 55.00% 52.05% 53.01% 52.53% 51.72% 52.21% 51.83% 51.27% 51.52% 51.72% 51.43% 53.15% 40.38% 78.76% 83.62% 52.45% 0
Sha. Shares
0m 128.93m 170.38m 166.03m 172.34m 172.98m 196.33m 201.33m 200.76m 200.56m 199.84m 200.67m 200.55m 200.61m 200.97m 200.93m 200.83m 227.7m 227.78m 227.78m 228.43m
OCF Operating Cash Flow
$73.74M $112.94M $128.04M $152.02M $166.71M $241.75M $337.31M $430.59M $433.89M $450.41M $561.47M $746.24M $904.97M $882.19M $994.69M $903.30M $1.68B $1.48B $715.50M $1.28B $0.00M
FCF Free Cash Flow
$39.63M $51.25M $26.58M $4.18M $-31.33M $-25.53M $162.30M $215.63M $211.68M $184.84M $315.85M $260.06M $401.79M $451.73M $520.85M $309.50M $1.00B $852.30M $7.00M $558.70M $0.00M
FCFS Free Cash Flow Per Share
$0.31 $0.37 $0.15 $0.02 $-0.18 $-0.15 $0.83 $1.07 $1.05 $0.92 $1.57 $1.29 $1.96 $2.24 $2.59 $1.51 $4.81 $3.74 $0.03 $2.45 $0.00