# Chemed Corporation (CHE)

**Exchange:** NYSE  
**Sector:** Healthcare  
**Market cap:** $6.28B  
**Price:** $434.42 (-2.65%)

> Chemed Corporation operates as a diversified services company through its two primary segments: VITAS Healthcare and Roto-Rooter. VITAS provides hospice and palliative care services to patients across the United States via a comprehensive network of physicians, registered nurses, home health aides, social workers, clergy, and volunteers, focusing on end-of-life care. Roto-Rooter delivers essential plumbing, drain cleaning, excavation, water restoration, and related maintenance services to both residential and commercial customers through a combination of company-owned branches, independent contractors, and franchisees. This dual-segment structure enables Chemed Corporation to serve distinct yet essential needs in the healthcare and home services markets, offering resilience through non-correlated business lines. Founded in 1970 and headquartered in Cincinnati, Ohio, Chemed Corporation maintains a strong presence in these sectors, supporting communities with critical care and repair solutions.

## Income Statement (Annual, USD)

| Fiscal Year | Revenue | Gross Profit | Operating Income | Net Income | EPS (dil.) |
| --- | --- | --- | --- | --- | --- |
| 2025 | $2.53B | $823M | $338M | $265M | — |
| 2024 | $1.53B | -$46M | $366M | $302M | — |
| 2023 | $1.32B | -$151M | $341M | $273M | — |
| 2022 | $1.20B | -$168M | $343M | $250M | — |
| 2021 | $1.26B | -$108M | $343M | $269M | — |
| 2020 | $1.33B | -$44M | $390M | $319M | — |
| 2019 | $1.28B | -$40M | $257M | $220M | — |
| 2018 | $1.20B | -$30M | $244M | $206M | — |
| 2017 | $1.67B | $516M | $113M | $98M | — |
| 2016 | $1.58B | $461M | $179M | $109M | — |
| 2015 | $1.54B | $456M | $184M | $110M | — |
| 2014 | $1.46B | $422M | $168M | $99M | — |
| 2013 | $1.41B | $405M | $133M | $77M | — |
| 2012 | $1.43B | $397M | $156M | $89M | — |
| 2011 | $1.36B | $385M | $154M | $86M | — |

## Balance Sheet (Annual, USD)

| Fiscal Year | Total Assets | Total Liabilities | Equity | Cash | Long-term Debt |
| --- | --- | --- | --- | --- | --- |
| 2025 | $1.54B | $559M | $979M | $75M | — |
| 2024 | $1.67B | $550M | $1.12B | $178M | — |
| 2023 | $1.67B | $560M | $1.11B | $264M | — |
| 2022 | $1.44B | $643M | $799M | $74M | $98M |
| 2021 | $1.34B | $719M | $623M | $33M | $185M |
| 2020 | $1.43B | $534M | $901M | $163M | — |
| 2019 | $1.27B | $542M | $727M | $6M | $90M |
| 2018 | $976M | $384M | $591M | $5M | $89M |
| 2017 | $920M | $380M | $540M | $11M | $101M |
| 2016 | $880M | $356M | $524M | $15M | $109M |
| 2015 | $852M | $339M | $513M | $15M | $91M |
| 2014 | $860M | $409M | $451M | $14M | $148M |
| 2013 | $894M | $445M | $449M | $84M | $184M |
| 2012 | $860M | $406M | $453M | $70M | $175M |
| 2011 | $796M | $382M | $414M | $38M | $167M |

## Cash Flow (Annual, USD)

| Fiscal Year | Operating Cash Flow | CapEx | Free Cash Flow |
| --- | --- | --- | --- |
| 2025 | $388M | $63M | $325M |
| 2024 | $417M | $50M | $368M |
| 2023 | $330M | $57M | $273M |
| 2022 | $310M | $57M | $253M |
| 2021 | $309M | $59M | $250M |
| 2020 | $489M | $59M | $430M |
| 2019 | $301M | $53M | $248M |
| 2018 | $287M | $53M | $234M |
| 2017 | $162M | $64M | $98M |
| 2016 | $135M | $40M | $96M |
| 2015 | $172M | $44M | $127M |
| 2012 | $132M | $35M | $97M |
| 2011 | $174M | $30M | $145M |
| 2010 | $86M | $26M | $60M |
| 2009 | $161M | $21M | $139M |

Source: [CompaniesByCap](https://companiesbycap.com/company/CHE)
