CoverageForm 410-K10-Q8-K13D13G13F

CHE · Chemed Corp - Financials

Annual line items from SEC XBRL filings, sourced from EDGAR's Company Facts API with fallback to the quarterly Financial Statement Data Sets. See issuer overview for Form 4 activity and 10-K signals.

Price · CHE

Income Statement

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenue$2.53B$2.43B$2.26B$2.13B$2.14B$2.08B
Cost of Revenue$1.71B$1.58B$1.47B$1.37B$1.37B$1.38B
Gross Profit$823.18M$854.35M$798.82M$765.09M$769.80M$701.39M
R&D------
SG&A$417.19M$424.36M$395.12M$358.73M$366.73M$330.22M
Total Operating Expenses$2.19B$2.06B$1.92B$1.79B$1.80B$1.69B
D&A$64.84M$63.05M$60.87M$59.17M$59.05M$56.58M
Operating Income$338.25M$366.49M$340.57M$343.50M$343.04M$389.68M
Interest Expense$1.75M$1.78M$3.11M$4.58M$1.87M$2.35M
Income Tax$90.54M$97.47M$77.86M$80.06M$81.76M$76.52M
Net Income$265.24M$302.00M$272.51M$249.62M$268.55M$319.47M
EPS - Basic$18.42$20.10$18.11$16.72$17.14$20.02
EPS - Diluted$18.34$19.89$17.93$16.53$16.85$19.48

Balance Sheet

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Cash & Equivalents$74.52M$178.35M$263.96M$74.13M$32.90M$162.68M
Accounts Receivable$182.57M$171.16M$181.51M$139.41M$137.22M$126.85M
Inventory$7.54M$8.19M$12.00M$10.27M$10.11M$7.09M
Accounts Payable$64.46M$44.15M$64.03M$41.88M$73.02M$54.23M
Current Assets$302.62M$394.75M$500.84M$272.61M$230.29M$329.40M
Total Assets$1.54B$1.67B$1.67B$1.44B$1.34B$1.43B
Current Liabilities$287.13M$285.69M$312.05M$297.20M$302.40M$299.11M
Long-term Debt---$92.50M$185.00M-
Total Liabilities$558.78M$549.58M$560.22M$643.30M$719.45M$533.71M
Stockholders' Equity$979.40M$1.12B$1.11B$798.72M$623.27M$901.20M
Retained Earnings$2.96B$2.72B$2.45B$2.20B$1.97B$1.72B

Cash Flow

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Operating Cash Flow$388.27M$417.50M$330.30M$309.89M$308.60M$489.29M
Investing Cash Flow($59.34M)($143.91M)($60.64M)($59.40M)($57.76M)($61.56M)
Financing Cash Flow($432.77M)($359.19M)($79.83M)($209.25M)($380.62M)($271.21M)
CapEx$62.80M$49.53M$56.85M$57.33M$58.67M$58.83M
Free Cash Flow$325.48M$367.97M$273.44M$252.56M$249.92M$430.46M

Ratios

MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Profitability
Gross margin32.5%35.1%35.3%35.8%36.0%33.7%
Operating margin13.4%15.1%15.0%16.1%16.0%18.7%
EBITDA margin15.9%17.7%17.7%18.9%18.8%21.5%
Net margin10.5%12.4%12.0%11.7%12.6%15.4%
Free cash flow margin12.9%15.1%12.1%11.8%11.7%20.7%
FCF / Net income1.231.221.001.010.931.35
R&D / Revenue------
SG&A / Revenue16.5%17.5%17.4%16.8%17.1%15.9%
Effective tax rate25.4%24.4%22.2%24.3%23.3%19.3%
Return on assets17.2%18.1%16.3%17.3%20.0%22.3%
Return on equity27.1%27.0%24.6%31.3%43.1%35.4%
Return on invested capital---29.2%32.5%-
Liquidity
Current ratio1.051.381.610.920.761.10
Quick ratio1.031.351.570.880.731.08
Cash ratio0.260.620.850.250.110.54
Leverage
Debt / Equity---0.120.30-
Debt / Assets---0.060.14-
Debt / EBITDA---0.230.46-
Interest coverage193.3x205.9x109.6x74.9x183.6x165.5x
Equity multiplier1.571.491.511.812.151.59
Liabilities / Assets0.360.330.340.450.540.37
Efficiency
Asset turnover1.641.461.361.481.591.45
Inventory turnover226.28192.47122.09133.36135.47194.25
Days sales outstanding26d26d29d24d23d22d
Days inventory outstanding2d2d3d3d3d2d
Days payable outstanding14d10d16d11d19d14d
Cash conversion cycle14d17d16d15d7d10d
Valuation
P / E23.3x26.6x32.6x30.9x31.4x27.3x
P / B6.3x7.2x8.0x9.6x13.5x9.7x
P / S2.4x3.3x3.9x3.6x3.9x4.2x
EV / EBITDA15.2x18.3x21.5x19.2x21.3x19.2x
Growth
Revenue growth (YoY)4.1%7.4%6.1%-0.2%2.9%7.3%
Revenue CAGR (3y)5.8%4.4%2.9%3.3%10.7%9.7%
Revenue CAGR (5y)4.0%4.6%7.5%6.2%8.0%8.0%
Gross profit growth (YoY)-3.6%7.0%4.4%-0.6%9.8%13.6%
Operating income growth (YoY)-7.7%7.6%-0.9%0.1%-12.0%51.4%
Net income growth (YoY)-12.2%10.8%9.2%-7.0%-15.9%45.3%
EPS growth (YoY)-7.8%10.9%8.5%-1.9%-13.5%46.4%
EPS CAGR (3y)3.5%5.7%-2.7%7.5%11.3%49.2%
EPS CAGR (5y)-1.2%8.4%8.0%23.0%21.1%25.2%
FCF growth (YoY)-11.5%34.6%8.3%1.1%-41.9%73.4%
FCF CAGR (5y)-5.4%8.2%3.1%28.9%21.2%32.2%
Book value growth (YoY)-12.5%1.0%38.7%28.1%-30.8%24.0%

Stability scores

Altman Z′

FY 2025 · bankruptcy risk

4.70
Safe

Private-firm variant - uses book equity instead of market cap. > 2.90 safe · 1.23-2.90 grey · < 1.23 distress.

Piotroski F-score

FY 2025 · 9-point quality

5/9
Neutral
  • Net income positive
  • Operating cash flow positive
  • ROA improved YoY
  • Cash flow > net income
  • -Long-term debt decreased
  • Current ratio improved
  • No share dilution
  • Gross margin improved
  • Asset turnover improved

Peer comparison

Same SIC group: Services-Home Health Care Services

CompanyRevenue (last FY)Net marginROE
EHAB$1.06B-0.4%-0.9%
ADUS$1.42B6.7%8.8%
OPCH$5.65B3.7%15.7%
AHCO$3.24B-2.2%-4.7%
AVAH$2.43B9.2%115.7%

Comparing CHEMED CORP against the 5 most active filers in the same SIC group.

Dividends

$2.40/share trailing 12 months · +20.0% YoY

Ex-datePer share
May 28, 2026$0.6000
Feb 23, 2026$0.6000
Nov 17, 2025$0.6000
Aug 11, 2025$0.6000
May 29, 2025$0.5000
Feb 24, 2025$0.5000
Nov 18, 2024$0.5000
Aug 12, 2024$0.5000
May 30, 2024$0.4000
Feb 23, 2024$0.4000
Nov 10, 2023$0.4000
Aug 11, 2023$0.4000
May 24, 2023$0.3800
Feb 24, 2023$0.3800
Nov 10, 2022$0.3800
Aug 12, 2022$0.3800
May 25, 2022$0.3600
Feb 25, 2022$0.3600
Nov 12, 2021$0.3600
Aug 13, 2021$0.3600
May 26, 2021$0.3400
Feb 26, 2021$0.3400
Nov 13, 2020$0.3400
Aug 14, 2020$0.3400