CVS Health
NYSE:CVS
$ 72,18
$-0,62 (-0,85%)
72,18 $
$-0,62 (-0,85%)
End-of-day quote: 03/25/2026

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

$6,75
Earnings Per Share
$316,04
Revenue Per Share
13,29%
Gross Margin %
$92,62 B
Market Cap
$59,24 B
Long-Term Debt
Earnings Per Share
$6,75
Revenue Per Share
$316,04
Gross Margin %
13,29%
Market Cap
$92,62 B
Long-Term Debt
$59,24 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 $6,75 $5,42 $8,74 $8,69 $8,40 $7,50 $7,08 $7,08 $5,90 $5,84 $5,16 $4,49 $4,00 $3,27 $2,80 $2,69 $2,62 $2,18 $1,92 $1,56
Earnings Earnings $8,59B $6,83B $11,00B $11,16B $11,03B $9,84B $9,23B $9,18B $5,99B $6,20B $5,68B $5,12B $4,72B $4,03B $3,65B $3,68B $3,64B $3,17B $2,75B $1,29B
RPS Revenue Per Share $316,04 $295,69 $284,30 $251,12 $222,56 $204,91 $196,89 $150,01 $182,12 $167,32 $139,23 $122,25 $107,42 $100,01 $82,23 $70,47 $71,00 $60,10 $53,31 $52,93
Revenue Revenue $402,07B $372,81B $357,78B $322,47B $292,11B $268,71B $256,78B $194,58B $184,77B $177,53B $153,29B $139,37B $126,76B $123,13B $107,10B $96,41B $98,73B $87,47B $76,33B $43,81B
OCF Operating Cash Flow $10,64B $9,11B $13,43B $16,18B $18,27B $15,87B $12,85B $8,87B $8,01B $10,07B $8,41B $8,14B $5,78B $6,67B $5,86B $4,78B $4,04B $3,95B $3,23B $1,74B
FCF Free Cash Flow $4,89B $6,33B $10,44B $13,45B $15,75B $13,43B $10,39B $6,83B $6,09B $7,85B $6,05B $6,00B $3,80B $4,64B $3,98B $2,77B $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 2,51% 2,16% 3,95% 4,89% 4,74% 5,10% 4,62% 5,18% 5,29% 5,96% 6,32% 6,33% 6,28% 5,86% 5,91% 6,41% 6,54% 6,91% 6,64% 5,57%
GM % Gross Margin % 13,29% 13,29% 14,94% 16,69% 17,48% 18,01% 17,41% 15,92% 15,43% 16,26% 17,31% 18,20% 18,76% 18,27% 19,20% 21,11% 20,73% 20,91% 21,10% 26,80%
FCFS Free Cash Flow Per Share $6,16 $5,02 $8,09 $10,25 $11,94 $10,26 $7,99 $6,54 $5,97 $7,38 $5,52 $5,17 $3,12 $3,65 $2,98 $2,03 $1,04 $1,22 $1,06 $-0,05
LT Debt Long-Term Debt $59,24B $59,23B $57,31B $49,07B $50,72B $58,16B $63,92B $70,80B $21,51B $25,62B $26,27B $11,63B $12,84B $9,13B $9,21B $8,65B $8,76B $8,06B $8,35B $2,87B
Sha. Stocks 1.272,21M 1.260,8M 1.258,45M 1.284,11M 1.312,51M 1.311,35M 1.304,16M 1.297,08M 1.014,53M 1.061M 1.101M 1.140M 1.180M 1.231,19M 1.302,38M 1.368,17M 1.390,52M 1.455,52M 1.431,88M 827,84M
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