Sonic Healthcare
ASX:SHL
$ 19,77
$-0,10 (-0,50%)
19,77 $
$-0,10 (-0,50%)
End-of-day quote: 04/10/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$1,07
Earnings Per Share
$20,09
Revenue Per Share
33,05%
Gross Margin %
$9,77 B
Market Cap
$3,41 B
Long-Term Debt
Earnings Per Share
$1,07
Revenue Per Share
$20,09
Gross Margin %
33,05%
Market Cap
$9,77 B
Long-Term Debt
$3,41 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $1,07 $1,07 $1,45 $3,03 $2,73 $1,13 $1,20 $1,10 $1,05 $1,09 $0,92 $0,96 $0,85 $0,81 $0,76 $0,75 $0,85 $0,74 $0,66 $0,59
Earnings Earnings $513,84M $513,81M $682,67M $1,43B $1,30B $536,95M $568,74M $467,15M $440,15M $452,45M $369,83M $384,78M $337,59M $316,69M $295,21M $291,32M $326,37M $246,79M $198,10M $174,17M
RPS Revenue Per Share $20,09 $18,74 $17,35 $19,80 $18,31 $14,38 $12,94 $13,05 $12,22 $12,17 $10,44 $9,76 $8,77 $8,56 $7,97 $7,70 $7,82 $7,11 $6,28 $5,60
Revenue Revenue $9,65B $9,00B $8,17B $9,34B $8,75B $6,83B $6,13B $5,54B $5,12B $5,05B $4,20B $3,91B $3,48B $3,35B $3,10B $2,99B $3,00B $2,37B $1,89B $1,65B
OCF Operating Cash Flow $1,30B $1,07B $1,47B $2,23B $2,04B $1,36B $847,31M $767,92M $736,37M $707,71M $512,08M $556,36M $459,46M $486,76M $409,02M $429,50M $429,95M $331,89M $267,94M $0,00M
FCF Free Cash Flow $960,55M $600,90M $1,08B $1,94B $1,77B $1,13B $565,73M $542,30M $399,46M $385,29M $314,61M $401,91M $286,81M $349,60M $273,25M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 9,71% 9,63% 12,48% 23,09% 21,95% 11,92% 12,36% 12,55% 12,57% 12,56% 12,36% 14,71% 14,59% 14,79% 14,90% 14,73% 15,74% 16,85% 18,28% 18,52%
GM % Gross Margin % 33,05% 32,84% 34,80% 39,89% 39,14% 32,18% 32,32% 32,50% 32,98% 33,03% 33,26% 34,50% 34,04% 34,21% 33,96% 33,31% 34,48% 34,65% 35,45% 35,48%
FCFS Free Cash Flow Per Share $1,74 $1,03 $2,07 $3,86 $3,52 $2,16 $1,03 $1,04 $0,78 $0,76 $0,62 $0,84 $0,58 $0,79 $0,61 $0,65 $0,76 $0,58 $0,47 $0,52
LT Debt Long-Term Debt $3,41B $2,69B $1,67B $1,58B $1,59B $2,87B $2,21B $2,79B $2,05B $2,10B $2,22B $1,52B $1,44B $1,22B $1,70B $1,35B $1,32B $776,22M $705,20M $782,25M
Sha. Stocks 480,22M 480,2M 470,81M 471,64M 477,92M 475,18M 473,95M 424,68M 419,19M 415,09M 401,99M 400,81M 397,16M 390,97M 388,43M 388,43M 383,97M 333,5M 300,15M 295,2M
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