Annual Current Liabilities:
$780.15M+$161.84M(+26.17%)Summary
- As of today, OPCH annual current liabilities is $780.15 million, with the most recent change of +$161.84 million (+26.17%) on December 31, 2024.
 - During the last 3 years, OPCH annual current liabilities has risen by +$320.45 million (+69.71%).
 - OPCH annual current liabilities is now at all-time high.
 
Performance
OPCH Current Liabilities Chart
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Quarterly Current Liabilities:
$823.91M+$50.29M(+6.50%)Summary
- As of today, OPCH quarterly current liabilities is $823.91 million, with the most recent change of +$50.29 million (+6.50%) on September 30, 2025.
 - Over the past year, OPCH quarterly current liabilities has increased by +$60.68 million (+7.95%).
 - OPCH quarterly current liabilities is now at all-time high.
 
Performance
OPCH Quarterly Current Liabilities Chart
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Current Liabilities Formula
Current Liabilities = Accounts Payable + Short-Term Debt + Accrued Expenses + Other Current Liabilities
OPCH Current Liabilities Trends
| PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | 
|---|---|---|
| 1Y1 Year | +26.2% | +8.0% | 
| 3Y3 Years | +69.7% | +40.4% | 
| 5Y5 Years | +136.4% | +90.2% | 
OPCH Current Liabilities Highs & Lows
| PeriodPeriod | Annual vs HighAnnual vs High | Annual vs LowAnnual vs Low | Quarter. vs HighQuarter. vs High | Quarter. vs LowQuarter. vs Low | |
|---|---|---|---|---|---|
| 3Y | 3-Year | at high | +69.7% | at high | +45.7% | 
| 5Y | 5-Year | at high | +136.4% | at high | +96.1% | 
| All-Time | All-Time | at high | +2483.3% | at high | +3290.6% | 
OPCH Current Liabilities History
| Date | Annual | Quarterly | 
|---|---|---|
| Sep 2025 | -  | $823.91M(+6.5%)  | 
| Jun 2025 | -  | $773.62M(+8.4%)  | 
| Mar 2025 | -  | $713.66M(-8.5%)  | 
| Dec 2024 | $780.15M(+26.2%)  | $780.15M(+2.2%)  | 
| Sep 2024 | -  | $763.22M(+9.8%)  | 
| Jun 2024 | -  | $695.41M(+9.2%)  | 
| Mar 2024 | -  | $636.95M(+3.0%)  | 
| Dec 2023 | $618.31M(+9.4%)  | $618.31M(-0.9%)  | 
| Sep 2023 | -  | $624.08M(-6.6%)  | 
| Jun 2023 | -  | $668.47M(+8.1%)  | 
| Mar 2023 | -  | $618.57M(+9.4%)  | 
| Dec 2022 | $565.35M(+23.0%)  | $565.35M(-3.7%)  | 
| Sep 2022 | -  | $586.80M(+5.7%)  | 
| Jun 2022 | -  | $555.31M(+9.3%)  | 
| Mar 2022 | -  | $508.14M(+10.5%)  | 
| Dec 2021 | $459.69M(+5.9%)  | $459.69M(-5.3%)  | 
| Sep 2021 | -  | $485.66M(+5.7%)  | 
| Jun 2021 | -  | $459.52M(+9.4%)  | 
| Mar 2021 | -  | $420.16M(-3.2%)  | 
| Dec 2020 | $434.02M(+31.5%)  | $434.02M(+0.2%)  | 
| Sep 2020 | -  | $433.17M(+9.8%)  | 
| Jun 2020 | -  | $394.61M(+4.1%)  | 
| Mar 2020 | -  | $379.02M(+14.9%)  | 
| Dec 2019 | $330.00M(+207.5%)  | $330.00M(+3.2%)  | 
| Sep 2019 | -  | $319.67M(+175.2%)  | 
| Jun 2019 | -  | $116.17M(+0.5%)  | 
| Mar 2019 | -  | $115.59M(-51.8%)  | 
| Dec 2018 | $107.32M(+2.1%)  | $240.00M(+150.0%)  | 
| Sep 2018 | -  | $96.00M(+16.8%)  | 
| Jun 2018 | -  | $82.16M(-20.8%)  | 
| Mar 2018 | -  | $103.69M(-1.4%)  | 
| Dec 2017 | $105.13M(-19.2%)  | $105.13M(+18.1%)  | 
| Sep 2017 | -  | $89.03M(-13.5%)  | 
| Jun 2017 | -  | $102.88M(-15.5%)  | 
| Mar 2017 | -  | $121.73M(-6.6%)  | 
| Dec 2016 | $130.15M(-14.8%)  | $130.35M(-7.5%)  | 
| Sep 2016 | -  | $140.91M(+38.6%)  | 
| Jun 2016 | -  | $101.66M(-25.1%)  | 
| Mar 2016 | -  | $135.69M(-13.0%)  | 
| Dec 2015 | $152.76M(-6.4%)  | $156.05M(+6.3%)  | 
| Sep 2015 | -  | $146.84M(+9.6%)  | 
| Jun 2015 | -  | $134.02M(-7.7%)  | 
| Mar 2015 | -  | $145.16M(-10.6%)  | 
| Dec 2014 | $163.25M(-7.4%)  | $162.31M(+19.8%)  | 
| Sep 2014 | -  | $135.52M(+7.9%)  | 
| Jun 2014 | -  | $125.58M(-1.6%)  | 
| Mar 2014 | -  | $127.56M(-26.8%)  | 
| Dec 2013 | $176.32M(+62.9%)  | $174.31M(+30.5%)  | 
| Sep 2013 | -  | $133.54M(+34.4%)  | 
| Jun 2013 | -  | $99.38M(-25.4%)  | 
| Mar 2013 | -  | $133.16M(+23.0%)  | 
| Dec 2012 | $108.27M(-51.0%)  | $108.27M(-17.1%)  | 
| Sep 2012 | -  | $130.60M(-6.0%)  | 
| Jun 2012 | -  | $139.00M(-36.3%)  | 
| Mar 2012 | -  | $218.37M(-1.1%)  | 
| Dec 2011 | $220.77M  | $220.77M(+8.1%)  | 
| Sep 2011 | -  | $204.18M(+0.1%)  | 
| Jun 2011 | -  | $204.05M(-2.5%)  | 
| Date | Annual | Quarterly | 
|---|---|---|
| Mar 2011 | -  | $209.21M(-7.8%)  | 
| Dec 2010 | $226.79M(+76.9%)  | $226.79M(+42.2%)  | 
| Sep 2010 | -  | $159.52M(+19.1%)  | 
| Jun 2010 | -  | $133.92M(-0.6%)  | 
| Mar 2010 | -  | $134.69M(+5.1%)  | 
| Dec 2009 | $128.20M(-13.3%)  | $128.20M(+4.3%)  | 
| Sep 2009 | -  | $122.87M(-0.1%)  | 
| Jun 2009 | -  | $123.05M(-0.5%)  | 
| Mar 2009 | -  | $123.65M(-16.3%)  | 
| Dec 2008 | $147.80M(+28.8%)  | $147.80M(+0.0%)  | 
| Sep 2008 | -  | $147.76M(+11.7%)  | 
| Jun 2008 | -  | $132.27M(-0.3%)  | 
| Mar 2008 | -  | $132.62M(+15.5%)  | 
| Dec 2007 | $114.79M(-14.1%)  | $114.79M(+1.0%)  | 
| Sep 2007 | -  | $113.70M(-7.9%)  | 
| Jun 2007 | -  | $123.51M(-10.0%)  | 
| Mar 2007 | -  | $137.24M(+2.7%)  | 
| Dec 2006 | $133.68M(+31.1%)  | $133.68M(+16.5%)  | 
| Sep 2006 | -  | $114.70M(-3.1%)  | 
| Jun 2006 | -  | $118.41M(+4.9%)  | 
| Mar 2006 | -  | $112.90M(+22.8%)  | 
| Dec 2005 | $101.99M(+44.1%)  | $91.95M(+33.2%)  | 
| Sep 2005 | -  | $69.01M(-2.6%)  | 
| Jun 2005 | -  | $70.88M(-7.7%)  | 
| Mar 2005 | -  | $76.82M(+8.5%)  | 
| Dec 2004 | $70.79M(+10.7%)  | $70.79M(+8.8%)  | 
| Sep 2004 | -  | $65.09M(-3.7%)  | 
| Jun 2004 | -  | $67.61M(-8.9%)  | 
| Mar 2004 | -  | $74.24M(+16.1%)  | 
| Dec 2003 | $63.95M(-27.0%)  | $63.95M(-1.8%)  | 
| Sep 2003 | -  | $65.12M(-18.2%)  | 
| Jun 2003 | -  | $79.63M(-6.7%)  | 
| Mar 2003 | -  | $85.38M(-2.5%)  | 
| Dec 2002 | $87.59M(+11.7%)  | $87.59M(-0.5%)  | 
| Sep 2002 | -  | $88.02M(-14.7%)  | 
| Jun 2002 | -  | $103.21M(-4.2%)  | 
| Mar 2002 | -  | $107.77M(+37.4%)  | 
| Dec 2001 | $78.43M(+1.1%)  | $78.43M(+3.8%)  | 
| Sep 2001 | -  | $75.58M(-0.7%)  | 
| Jun 2001 | -  | $76.11M(-4.7%)  | 
| Mar 2001 | -  | $79.88M(+8.6%)  | 
| Dec 2000 | $77.57M(+1.6%)  | $73.58M(+10.9%)  | 
| Sep 2000 | -  | $66.34M(-10.0%)  | 
| Jun 2000 | -  | $73.71M(-6.2%)  | 
| Mar 2000 | -  | $78.59M(+2.9%)  | 
| Dec 1999 | $76.39M(+20.9%)  | $76.39M(-5.2%)  | 
| Sep 1999 | -  | $80.54M(+31.6%)  | 
| Jun 1999 | -  | $61.19M(+9.0%)  | 
| Mar 1999 | -  | $56.14M(-11.1%)  | 
| Dec 1998 | $63.20M(+43.6%)  | $63.16M(+5.7%)  | 
| Sep 1998 | -  | $59.75M(+18.8%)  | 
| Jun 1998 | -  | $50.28M(+15.3%)  | 
| Mar 1998 | -  | $43.59M(-0.9%)  | 
| Dec 1997 | $44.00M(+45.7%)  | $44.00M(+53.3%)  | 
| Sep 1997 | -  | $28.70M(+18.1%)  | 
| Jun 1997 | -  | $24.30M(-18.2%)  | 
| Mar 1997 | -  | $29.70M(-1.7%)  | 
| Dec 1996 | $30.20M  | $30.20M(-5.6%)  | 
| Sep 1996 | -  | $32.00M  | 
FAQ
- What is Option Care Health, Inc. annual current liabilities?
 - What is the all-time high annual current liabilities for Option Care Health, Inc.?
 - What is Option Care Health, Inc. annual current liabilities year-on-year change?
 - What is Option Care Health, Inc. quarterly current liabilities?
 - What is the all-time high quarterly current liabilities for Option Care Health, Inc.?
 - What is Option Care Health, Inc. quarterly current liabilities year-on-year change?
 
What is Option Care Health, Inc. annual current liabilities?
The current annual current liabilities of OPCH is $780.15M
What is the all-time high annual current liabilities for Option Care Health, Inc.?
Option Care Health, Inc. all-time high annual current liabilities is $780.15M
What is Option Care Health, Inc. annual current liabilities year-on-year change?
Over the past year, OPCH annual current liabilities has changed by +$161.84M (+26.17%)
What is Option Care Health, Inc. quarterly current liabilities?
The current quarterly current liabilities of OPCH is $823.91M
What is the all-time high quarterly current liabilities for Option Care Health, Inc.?
Option Care Health, Inc. all-time high quarterly current liabilities is $823.91M
What is Option Care Health, Inc. quarterly current liabilities year-on-year change?
Over the past year, OPCH quarterly current liabilities has changed by +$60.68M (+7.95%)