Pediatrix Medical Gr...
NYSE:MD
$ 21,18
+ $0,48 (2,32%)
21,18 $
+$0,48 (2,32%)
End-of-day quote: 04/02/2026

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

$2,04
Earnings Per Share
$23,61
Revenue Per Share
25,80%
Gross Margin %
$1,72 B
Market Cap
$0,60 B
Long-Term Debt
Earnings Per Share
$2,04
Revenue Per Share
$23,61
Gross Margin %
25,80%
Market Cap
$1,72 B
Long-Term Debt
$0,60 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 $2,04 $1,51 $1,26 $1,66 $1,63 $0,95 $3,38 $3,82 $3,34 $3,99 $4,07 $3,18 $2,78 $2,43 $2,24 $2,02 $1,86 $1,54 $1,46 $1,26
Earnings Earnings $165,38M $127,04M $104,29M $135,85M $139,09M $80,20M $279,02M $330,85M $309,55M $370,47M $377,66M $301,50M $277,31M $238,63M $214,84M $190,00M $171,60M $140,71M $141,68M $123,13M
RPS Revenue Per Share $23,61 $23,93 $24,10 $24,10 $22,40 $20,54 $42,56 $42,11 $37,31 $34,28 $29,96 $25,72 $21,59 $18,50 $16,56 $14,90 $13,96 $11,69 $9,46 $8,38
Revenue Revenue $1,91B $2,01B $1,99B $1,97B $1,91B $1,73B $3,51B $3,65B $3,46B $3,18B $2,78B $2,44B $2,15B $1,82B $1,59B $1,40B $1,29B $1,07B $917,64M $818,55M
OCF Operating Cash Flow $202,70M $206,57M $137,33M $94,66M $76,74M $204,62M $346,64M $289,90M $511,38M $443,78M $368,70M $422,64M $405,40M $325,70M $271,00M $240,60M $241,40M $181,40M $188,50M $177,27M
FCF Free Cash Flow $180,35M $184,55M $48,07M $80,32M $44,49M $175,83M $314,76M $241,03M $462,07M $404,51M $341,63M $404,58M $389,74M $311,20M $239,67M $228,49M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 12,07% 9,13% 7,91% 10,14% 11,39% 9,92% 13,07% 14,42% 13,98% 17,96% 20,07% 21,03% 20,99% 21,44% 22,38% 22,41% 22,43% 22,66% 24,07% 24,16%
GM % Gross Margin % 25,80% 22,57% 21,13% 23,68% 26,85% 25,91% 28,27% 29,31% 28,27% 33,66% 34,52% 34,21% 34,20% 35,11% 36,00% 36,31% 36,53% 36,92% 39,36% 39,70%
FCFS Free Cash Flow Per Share $0,00 $2,21 $1,27 $1,64 $0,52 $2,11 $4,05 $3,26 $5,10 $4,38 $3,67 $4,10 $3,93 $3,19 $2,51 $2,45 $2,48 $1,80 $1,86 $1,72
LT Debt Long-Term Debt $597,34M $593,57M $611,59M $627,65M $990,57M $1,73B $1,73B $1,97B $1,85B $1,68B $1,26B $557,45M $27,00M $144,00M $29,00M $146,50M $50,00M $139,50M N/A $0,38M
Sha. Stocks 81,07M 84,13M 82,77M 81,84M 85,33M 84,42M 82,55M 86,61M 92,68M 92,85M 92,79M 94,81M 99,75M 98,2M 95,91M 94,06M 92,26M 91,37M 97,04M 97,72M
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