Chemed Corp 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
$734.88M $915.97M $1.02B $1.10B $1.15B $1.19B $1.28B $1.36B $1.43B $1.41B $1.46B $1.54B $1.58B $1.67B $1.78B $1.94B $2.08B $2.14B $2.13B $2.26B $0.00M
GM % Gross Margin %
31.04% 29.64% 28.32% 30.27% 29.45% 29.88% 29.25% 28.43% 27.74% 28.62% 28.95% 29.53% 29.26% 30.97% 31.13% 31.85% 33.73% 35.98% 35.84% 35.28% 0.00%
OM Operating Margin
8.37% 10.17% 10.33% 11.23% 11.80% 10.62% 11.21% 11.34% 11.10% 11.45% 11.71% 12.27% 11.95% 12.55% 13.74% 13.99% 15.13% 16.08% 16.26% 15.14% 0.00%
EPS Earnings Per Share
$1.95 $2.13 $3.03 $3.08 $3.51 $3.95 $4.52 $5.29 $5.62 $6.07 $6.98 $7.24 $8.43 $11.93 $13.95 $18.08 $19.33 $19.75 $20.30 $0.00
Div. Dividends
$0.24 $0.24 $0.24 $0.24 $0.24 $0.36 $0.52 $0.60 $0.68 $0.76 $0.84 $0.92 $1.00 $1.08 $1.16 $1.24 $1.32 $1.40 $1.48 $1.56 $0.00
PR % Payout Ratio %
18.46% 12.31% 11.27% 7.92% 7.79% 10.26% 13.16% 13.27% 12.85% 13.52% 13.84% 13.18% 13.81% 12.81% 9.72% 8.89% 7.30% 7.24% 7.49% 7.68% 0
Sha. Shares
24.94m 25.75m 26.27m 23.93m 22.37m 22.56m 22.79m 19.88m 19.29m 17.63m 17.01m 16.88m 16.22m 15.97m 16.01m 16.01m 15.95m 15.31m 14.87m 0m 15.01m
OCF Operating Cash Flow
$92.89M $80.01M $98.59M $99.58M $112.08M $160.83M $86.01M $174.34M $131.77M $150.85M $110.28M $171.50M $135.39M $162.50M $287.14M $301.25M $489.29M $308.60M $309.89M $330.30M $0.00M
FCF Free Cash Flow
$74.60M $54.28M $76.60M $72.94M $85.99M $139.33M $60.37M $144.75M $96.52M $121.52M $66.71M $127.36M $95.62M $98.20M $234.27M $248.23M $430.46M $249.92M $252.56M $273.45M $0.00M
FCFS Free Cash Flow Per Share
$3.09 $2.12 $2.93 $2.97 $3.73 $6.21 $2.67 $7.05 $5.10 $6.68 $3.89 $7.55 $5.84 $6.12 $14.59 $15.54 $26.98 $15.95 $16.92 $18.17 $0.00