Sonic Healthcare 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
$1.04B $1.38B $1.66B $1.89B $2.37B $3.01B $2.98B $3.10B $3.35B $3.48B $3.91B $4.20B $5.02B $5.12B $5.54B $6.13B $6.83B $8.75B $9.34B $8.17B $0.00M
GM % Gross Margin %
33.99% 35.29% 35.48% 35.45% 34.65% 34.48% 33.31% 33.96% 34.21% 34.04% 34.50% 33.26% 33.03% 32.98% 32.50% 32.32% 32.18% 39.14% 39.89% 34.80% 0.00%
OM Operating Margin
13.34% 18.28% 18.52% 18.28% 16.85% 15.74% 14.73% 14.90% 14.79% 14.59% 14.71% 12.36% 12.56% 12.57% 12.55% 12.36% 11.92% 21.95% 23.09% 12.48% 0.00%
EPS Earnings Per Share
$0.28 $0.59 $0.66 $0.74 $0.85 $0.75 $0.76 $0.81 $0.85 $0.96 $0.92 $1.09 $1.05 $1.10 $1.20 $1.13 $2.73 $3.03 $1.45 $0.00
Div. Dividends
$0.30 $0.36 $0.41 $0.46 $0.52 $0.57 $0.59 $0.59 $0.59 $0.62 $0.67 $0.70 $0.74 $0.77 $0.81 $0.84 $0.85 $0.91 $1.00 $1.04 $0.00
PR % Payout Ratio %
142.86% 128.57% 69.49% 69.70% 70.27% 67.06% 78.67% 77.63% 72.84% 72.94% 69.79% 76.09% 67.89% 73.33% 73.64% 70.00% 75.22% 33.33% 33.00% 71.72% 0
Sha. Shares
0m 267.75m 274.74m 295.2m 300.15m 383.83m 388.43m 388.43m 389.97m 396.03m 400.73m 401.4m 413.36m 416.3m 422.63m 487.67m 475.02m 477.8m 475.13m 471.64m 477.74m
OCF Operating Cash Flow
$156.33M $214.07M $247.21M $267.94M $331.89M $429.95M $429.50M $409.02M $486.76M $459.46M $556.36M $512.08M $707.71M $736.37M $767.92M $847.31M $1.36B $2.04B $2.23B $1.47B $0.00M
FCF Free Cash Flow
$117.76M $155.87M $149.24M $138.73M $209.13M $308.80M $290.19M $273.25M $349.60M $286.81M $401.91M $314.61M $385.29M $399.46M $542.30M $565.73M $1.13B $1.77B $1.94B $1.08B $0.00M
FCFS Free Cash Flow Per Share
$0.44 $0.57 $0.52 $0.47 $0.58 $0.76 $0.65 $0.61 $0.79 $0.58 $0.84 $0.62 $0.76 $0.78 $1.04 $1.03 $2.16 $3.52 $3.86 $2.07 $0.00