Mexico MXN

CVS Health Corporation (CVS.MX)

1,193.00 +13.00 (+1.10%)
At close: April 22 at 1:59 PM CST
Currency in USD All numbers in thousands
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Breakdown
TTM
12/31/2023
12/31/2022
12/31/2021
12/31/2020
Total Revenue
357,776,000.00
357,776,000.00
322,467,000.00
292,111,000.00
268,706,000.00
Cost of Revenue
303,345,000.00
303,345,000.00
267,965,000.00
239,991,000.00
219,660,000.00
Gross Profit
54,431,000.00
54,431,000.00
54,502,000.00
52,120,000.00
49,046,000.00
Operating Expense
39,832,000.00
39,832,000.00
38,212,000.00
37,021,000.00
35,135,000.00
Operating Income
14,599,000.00
14,599,000.00
16,290,000.00
15,099,000.00
13,911,000.00
Net Non Operating Interest Income Expense
-2,658,000.00
-2,658,000.00
-2,287,000.00
-2,503,000.00
-2,907,000.00
Other Income Expense
-768,000.00
-768,000.00
-8,167,000.00
-2,059,000.00
-1,234,000.00
Pretax Income
11,173,000.00
11,173,000.00
5,836,000.00
10,537,000.00
9,770,000.00
Tax Provision
2,805,000.00
2,805,000.00
1,509,000.00
2,548,000.00
2,569,000.00
Net Income Common Stockholders
8,344,000.00
8,344,000.00
4,311,000.00
8,001,000.00
7,179,000.00
Diluted NI Available to Com Stockholders
8,344,000.00
8,344,000.00
4,311,000.00
8,001,000.00
7,179,000.00
Basic EPS
6.49
6.49
3.29
6.07
5.48
Diluted EPS
6.47
6.47
3.26
6.02
5.46
Basic Average Shares
1,285,000.00
1,285,000.00
1,312,000.00
1,319,000.00
1,309,000.00
Diluted Average Shares
1,290,000.00
1,290,000.00
1,323,000.00
1,329,000.00
1,314,000.00
Total Operating Income as Reported
13,743,000.00
13,743,000.00
7,954,000.00
13,310,000.00
13,911,000.00
Total Expenses
343,177,000.00
343,177,000.00
306,177,000.00
277,012,000.00
254,795,000.00
Net Income from Continuing & Discontinued Operation
8,344,000.00
8,344,000.00
4,311,000.00
8,001,000.00
7,179,000.00
Normalized Income
8,985,144.00
8,985,144.00
10,487,976.00
9,699,678.00
8,249,280.00
Interest Expense
2,658,000.00
2,658,000.00
2,287,000.00
2,503,000.00
2,907,000.00
Net Interest Income
-2,658,000.00
-2,658,000.00
-2,287,000.00
-2,503,000.00
-2,907,000.00
EBIT
13,831,000.00
13,831,000.00
8,123,000.00
13,040,000.00
12,677,000.00
EBITDA
18,197,000.00
18,197,000.00
12,347,000.00
17,526,000.00
17,118,000.00
Reconciled Cost of Revenue
303,345,000.00
303,345,000.00
267,965,000.00
239,991,000.00
219,660,000.00
Reconciled Depreciation
4,366,000.00
4,366,000.00
4,224,000.00
4,486,000.00
4,441,000.00
Net Income from Continuing Operation Net Minority Interest
8,344,000.00
8,344,000.00
4,311,000.00
8,001,000.00
7,188,000.00
Total Unusual Items Excluding Goodwill
-856,000.00
-856,000.00
-8,336,000.00
-2,241,000.00
-1,440,000.00
Total Unusual Items
-856,000.00
-856,000.00
-8,336,000.00
-2,241,000.00
-1,440,000.00
Normalized EBITDA
19,053,000.00
19,053,000.00
20,683,000.00
19,767,000.00
18,558,000.00
Tax Rate for Calcs
0.00
0.00
0.00
0.00
0.00
Tax Effect of Unusual Items
-214,856.00
-214,856.00
-2,159,024.00
-542,322.00
-378,720.00
12/31/2020 - 1/28/2009

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