Bausch Health Compan...
NYSE:BHC
$ 5,63
+ $0,09 (1,62%)
5,63 $
+$0,09 (1,62%)
End-of-day quote: 04/24/2026

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

$3,75
Earnings Per Share
$27,70
Revenue Per Share
70,65%
Gross Margin %
$2,07 B
Market Cap
$20,59 B
Long-Term Debt
Earnings Per Share
$3,75
Revenue Per Share
$27,70
Gross Margin %
70,65%
Market Cap
$2,07 B
Long-Term Debt
$20,59 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 $3,75 $3,94 $3,49 $3,07 $4,46 $3,99 $4,43 $4,01 $3,83 $5,47 $10,20 $8,34 $6,24 $4,51 $2,93 $2,05 $1,50 $1,44 $1,86 $2,69
Earnings Earnings $1,39B $1,45B $1,28B $1,11B $1,60B $1,42B $1,56B $1,41B $1,34B $1,90B $3,50B $2,80B $2,09B $1,38B $898,28M $623,65M $237,56M $227,84M $299,50M $431,58M
RPS Revenue Per Share $27,70 $26,16 $23,96 $22,44 $23,45 $22,57 $24,39 $23,88 $25,01 $27,81 $30,61 $24,58 $17,23 $11,60 $8,04 $3,88 $5,18 $4,79 $5,23 $6,67
Revenue Revenue $10,27B $9,63B $8,76B $8,12B $8,43B $8,03B $8,60B $8,38B $8,72B $9,67B $10,50B $8,26B $5,77B $3,55B $2,46B $1,18B $820,43M $757,18M $842,82M $1,07B
OCF Operating Cash Flow $1,48B $1,60B $1,03B $-728,00M $1,43B $1,11B $1,50B $1,50B $2,29B $2,09B $2,20B $2,30B $1,04B $656,58M $676,47M $263,19M $360,90M $204,33M $340,85M $522,52M
FCF Free Cash Flow $1,02B $1,26B $980,40M $-946,00M $1,16B $809,00M $1,23B $1,34B $2,12B $1,85B $1,97B $2,00B $926,64M $548,94M $617,96M $246,37M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 21,35% 19,40% 18,51% 18,27% 20,25% 16,36% 15,60% 5,97% 6,36% 12,46% 25,26% 28,02% 24,94% 23,07% 25,47% 16,58% 34,41% 29,96% 34,85% 38,53%
GM % Gross Margin % 70,65% 71,10% 70,78% 70,90% 71,61% 71,98% 72,68% 71,95% 70,79% 73,40% 76,58% 73,13% 73,49% 74,40% 73,76% 70,19% 73,41% 70,92% 59,45% 78,57%
FCFS Free Cash Flow Per Share $2,68 $3,42 $2,08 $-2,75 $3,18 $2,26 $3,47 $3,60 $5,58 $5,17 $5,70 $5,49 $2,67 $1,56 $0,84 $0,83 $-2,58 $1,14 $1,90 $3,01
LT Debt Long-Term Debt $20,59B $18,94B $21,94B $20,33B $22,65B $23,93B $24,66B $24,08B $25,24B $29,85B $30,27B $15,23B $17,16B $10,54B $6,54B $3,48B $313,98M N/A N/A $399,38M
Sha. Stocks 370,56M 367,93M 365,41M 362,04M 359,65M 355,62M 352,7M 350,99M 348,84M 347,84M 343,02M 336,2M 334,87M 305,76M 306,58M 304,22M 158,37M 158,22M 161,02M 160,44M
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