Dashboard
Weak Long Term Fundamental Strength with a 20.30% CAGR growth in Operating Profits over the last 5 years
- Low ability to service debt as the company has a high Debt to EBITDA ratio of 4.13 times
- The company has been able to generate a Return on Capital Employed (avg) of 11.05% signifying low profitability per unit of total capital (equity and debt)
Negative results in Jun 25
Risky -
Consistent Underperformance against the benchmark over the last 3 years
Stock DNA
Pharmaceuticals & Biotechnology
USD 416 Million (Micro Cap)
6.00
NA
0.00%
-7.06
-76.43%
-1.48
Total Returns (Price + Dividend) 
Owens & Minor, Inc. for the last several years.
Risk Adjusted Returns v/s 
News

Owens & Minor, Inc. Hits New 52-Week Low at $3.76
Owens & Minor, Inc. has reached a new 52-week low, reflecting significant challenges within the company. With a market capitalization of USD 416 million, it shows troubling financial metrics, including a negative return on equity and high debt levels, raising concerns about its long-term viability in the Pharmaceuticals & Biotechnology sector.
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Owens & Minor, Inc. Hits New 52-Week Low at $4.35
Owens & Minor, Inc. has hit a new 52-week low, reflecting a challenging year with a significant stock price decline. Financial metrics show a low P/E ratio and concerning indicators such as negative Return on Equity and a high Debt to Equity ratio, highlighting ongoing valuation and profitability issues.
Read MoreIs Owens & Minor, Inc. technically bullish or bearish?
As of 5 August 2025, the technical trend for Owens & Minor, Inc. has changed from mildly bearish to bearish. The current technical stance is bearish, with key indicators supporting this view including bearish MACD readings on both the weekly and monthly charts, bearish moving averages on the daily timeframe, and a bearish KST on both weekly and monthly periods. Additionally, the Bollinger Bands and OBV are showing mildly bearish signals. In terms of performance, the stock has significantly underperformed compared to the S&P 500, with a year-to-date return of -57.54% versus the S&P 500's 12.22%, and a one-year return of -64.90% compared to 17.14% for the benchmark....
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Corporate Actions 
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Valuation key factors
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Shareholding Snapshot : Mar 2025
Shareholding Compare (%holding) 
Domestic Funds
Held in 75 Schemes (63.96%)
Held by 114 Foreign Institutions (8.42%)
Quarterly Results Snapshot (Consolidated) - Jun'25 - QoQ
QoQ Growth in quarter ended Jun 2025 is -74.09% vs -2.38% in Mar 2025
QoQ Growth in quarter ended Jun 2025 is -235.20% vs 91.56% in Mar 2025
Annual Results Snapshot (Consolidated) - Dec'24
YoY Growth in year ended Dec 2024 is 3.55% vs 3.80% in Dec 2023
YoY Growth in year ended Dec 2024 is -778.21% vs -284.37% in Dec 2023






