OMI - Owens & Minor, Inc. (NYSE) - Share Price and News

Owens & Minor, Inc.
US ˙ NYSE ˙ US6907321029

Overview
Owens & Minor, Inc., headquartered in the United States, operates primarily within the healthcare logistics industry. As a major player in this sector, the company focuses on the distribution of medical and surgical supplies and is a vital link between manufacturers and healthcare providers. Owens & Minor has expanded its services to include innovative supply chain management solutions, which significantly enhance the efficiency of healthcare operations. Additionally, the company is involved in the production of proprietary medical products, which further broadens its market impact. Over recent years, Owens & Minor has emphasized expanding its global footprint through key acquisitions and strategic partnerships, ensuring a robust presence in essential markets while strengthening its supply chain capabilities. These initiatives support its commitment to facilitating effective healthcare delivery worldwide.
Basic Stats

The share price of Owens & Minor, Inc. as of September 5, 2025 is $5.62 / share. This is an increase of 14.69% from the prior week. The market cap (or net worth) of Owens & Minor, Inc. as of September 5, 2025 is $433.85 MM.

The Factor Analysis chart (below right) shows a view of Owens & Minor, Inc. from a variety of lenses. Each factor shows how well the company ranks against all other companies in the Fintel global investing universe. Factor scores range from zero to 100, with 100 being most desirable, and 50 being average.

For example, a company with a Value Score of 100 would be the most undervalued company in our database. A company with a Value Score of zero would be the most overvalued.

Market Cap 433.85 MM
EV 2,373.33 MM
Shares Out. 77.20 MM
Earnings Date
EPS (TTM) -15.58
Dividend Yield 0.18 %
Ex-Dividend Date 2021-12-14
Borrow Rate 0.41
Short Shares Avail. 0.95 MM
Short Interest 7.39 MM
Short Float 12.10 %
Days to Cover 4.22 days
Risk Free Rate 4.17 %
Price Change (1 yr) -64.25 %
Volatility (1 yr) 0.89
Beta 0.77
Sharpe Ratio (1 yr) -0.77
Sortino Ratio (1 yr) -1.19
PE Ratio -0.36
Price/Book -1.54
Price/TBV -0.25
Book/Market -0.65
EBIT/EV -0.18
EBIT(3yr avg)/EV -0.08
ROA -0.23
ROE -1.40
ROIC -0.66
CROIC -0.11
OCROIC 0.06
Implied Volatility 98.42  %
Put/Call OI Ratio 0.16
Growth
Profitability
Quality Score
Value Score
Momentum Score
Stability (Low Vol) Score
Analyst Sentiment
Fund Sentiment
Insider Sentiment
Officer Sentiment
Dividend Score
QVM Score
Piotroski F-SCORE 4.00 /9
Factor Scores range from 0 to 100, with 100 being most desirable. Larger circles are better. In situations where we have no data (e.g. no insider trades), we plot the score at 50 to avoid penalizing companies. However, a company that does not pay dividends will get a Dividend Score of Zero. Additionally, we inverted volatility to create a "stability" metric which is better when higher.
Price Target

The average one-year price target for Owens & Minor, Inc. is $6.26. The forecasts range from a low of $4.75 to a high of $7.35. A stock’s price target is the price at which analysts consider it fairly valued with respect to its projected earnings and historical earnings. Analysts typically set price targets that correspond to their buy or sell recommendations.

Update Frequency: Monthly

Record Date Projection Date High Low Median Average
2025-09-03 2026-09-03 7.35 4.75 7.14 6.26
Stock Upgrades/Downgrades

This card shows analyst upgrades/downgrades for Owens & Minor, Inc.. An analyst rating is a classification that gives investors a sense of analyst sentiment about the direction and performance of an equity - usually a stock - over a period of time, typically 12 months.

The standard analyst ratings are generally as follows:
  • Buy/Overweight/Outperform - Any of these ratings conveys an analyst’s belief that the stock is likely to outperform a market index (e.g. the S&P 500).
  • Hold/Equal-Weight/Market Perform - Any of these ratings conveys an analyst’s belief that the stock is likely to perform in line with a market index.
  • Sell/Underweight/Underperform - Any of these ratings suggest that an analyst believes the stock is likely to underperform a market index.

When an analyst upgrades a stock, they are signaling that the company’s fundamentals are being undervalued by investors. It could also mean they believe the market is underestimating the company’s potential. The opposite is true when a stock receives a downgrade.

The average rating of each individual analyst’s rating is the consensus rating for a stock. This gives investors a broader sense of the overall sentiment for that stock.

Date Analyst Prior Latest
Recommendation
Action
2023-03-01 Baird Neutral Maintains
2022-11-03 Citigroup Neutral Maintains
2022-10-14 Credit Suisse Hold Neutral Maintains
2022-10-13 Citigroup Buy Neutral Downgrade
2022-10-12 Baird Outperform Neutral Downgrade
2022-08-04 Credit Suisse Neutral Maintains
2022-08-04 Baird Outperform Maintains
2022-02-28 Credit Suisse Neutral Maintains
2021-08-04 Credit Suisse Neutral Maintains
2021-05-27 Credit Suisse Neutral Maintains
2021-05-11 Credit Suisse Neutral Maintains
2020-11-05 UBS Neutral Maintains
2020-09-25 Credit Suisse Neutral Maintains
2020-09-25 Barclays Underweight Equal-Weight Upgrade
2020-08-07 Credit Suisse Neutral Maintains
2020-07-22 Barclays Underweight Maintains
2020-06-10 CFRA Buy Maintains
2020-05-07 CFRA Buy Maintains
2020-05-05 Baird Outperform Neutral Downgrade
2020-03-30 CFRA Hold Buy Upgrade
2020-01-21 Baird Neutral Outperform Upgrade
2019-01-17 UBS Neutral Initiate
2019-01-03 Bank of America Neutral Neutral Reiterate
2018-11-01 Barclays Underweight Underweight Maintains
2018-03-08 Barclays Underweight Initiate
2018-02-15 JP Morgan Underweight Underweight Maintains
2017-12-19 JP Morgan Neutral Underweight Downgrade
2017-11-20 Credit Suisse Underperform Maintains
2017-11-02 Leerink Swann Market Perform Maintains
2017-09-01 Baird Underperform Neutral Upgrade
2016-11-07 Bank of America Neutral Underperform Downgrade
2016-10-06 UBS Sell Initiate
2016-04-21 Baird Neutral Underperform Downgrade
2016-03-15 Credit Suisse Underperform Initiate
2015-06-10 RBC Capital Sector Perform Initiate
2014-07-30 Credit Suisse Underperform Maintains
2014-07-02 Jefferies Hold Initiate
2014-06-16 Wells Fargo Market Perform Initiate
2013-12-05 UBS Sell Maintains
2013-07-31 Baird Underperform Neutral Upgrade
2012-10-22 UBS Neutral Sell Downgrade
2012-02-08 Gabelli & Co. Hold Downgrade
2023-03-07 Credit Suisse Neutral Maintains
2023-03-08 Citigroup Neutral Maintains
2023-05-08 Citigroup Neutral Maintains
2023-05-08 UBS Buy Maintains
2023-05-08 Credit Suisse Neutral Maintains
2023-05-08 Baird Neutral Maintains
2023-08-08 Credit Suisse Neutral Neutral Maintains
2023-12-08 UBS Buy Buy Maintains
2023-11-17 JP Morgan Underweight Underweight Maintains
2024-05-06 Baird Neutral Neutral Maintains
2024-04-30 Citigroup Neutral Neutral Maintains
2024-04-10 Baird Neutral Neutral Maintains
2024-02-21 Barclays Equal-Weight Equal-Weight Maintains
2024-02-21 Citigroup Neutral Neutral Maintains
2024-01-29 UBS Buy Buy Maintains
2024-06-25 B of A Securities Underperform Underperform Maintains
2024-06-25 Baird Neutral Neutral Maintains
2024-07-16 Baird Neutral Neutral Maintains
2025-02-13 UBS Buy Buy Maintains
2024-11-05 Citigroup Buy Buy Maintains
2024-11-05 UBS Buy Buy Maintains
2024-11-05 Barclays Equal-Weight Equal-Weight Maintains
2024-11-05 Baird Neutral Neutral Maintains
2024-08-05 Barclays Equal-Weight Equal-Weight Maintains
2024-07-19 Citigroup Neutral Buy Upgrade
2025-02-04 Baird Neutral Neutral Maintains
2025-02-25 Baird Neutral Neutral Maintains
2024-08-21 JP Morgan Underweight Underweight Maintains
2025-03-03 Baird Neutral Neutral Maintains
2025-03-10 JP Morgan Underweight Underweight Maintains
2025-08-13 UBS Buy Buy Maintains
2025-04-17 Citigroup Buy Buy Maintains
2025-08-27 JP Morgan Underweight Underweight Maintains
2025-06-06 Baird Neutral Neutral Maintains
2025-08-12 Citigroup Buy Buy Maintains
2025-08-12 Baird Outperform Outperform Maintains
2025-08-12 B of A Securities Underperform Underperform Maintains
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