HCA Healthcare, Inc.HCA

Market cap
$126.3B
P/E ratio
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Net income2,8422,0061,9962,3732,6963,4322,7434,3894,1454,3877,7216,8346,0916,657
Accounts receivable-3,2483,8964,3953,6454,1143,2474,640423326-327962797935799
Inventories and other assets-18122192323141126924215830454059126-334
Accounts payable and accrued expenses3133551424441921443746983961,255999-296604359
Depreciation and amortization1,4651,6791,7531,8201,9041,9662,1312,2782,5962,7212,8532,9693,0773,312
Income taxes91296143-83-1601234337425041-7057122922
Losses (gains) on sales of facilities14215-1029-523842818-71,6201,301-514
Losses on retirement of debt-481--17-335-135-4-39-9-211-295-12-78--
Amortization of debt issuance costs and discounts------------3535
Share-based compensation2656113163239251270268347362440341262360
Other8-9-7-13-54-70-83-107-129-111-99-153-189-248
Net cash provided by operating activities3,9334,1753,6804,448---6,7617,6029,2328,9598,5229,43110,514
Purchase of property and equipment1,6791,8621,9432,1762,3752,7603,0153,5734,1582,8353,5774,3954,7444,875
Acquisition of hospitals and health care entities1,6822584817663515761,2121,2531,6825681,105224635266
Proceeds from Divestiture of Businesses---5173262580861682,1601,237193328
Change in investments80-16-3637-63-6473-57-2520117-14112115
Other5-11-9-10-7-64-60-3438421195
Net cash used in investing activities-2,995-2,063-2,346-2,918----3,901-5,720-3,393-2,643-3,389-5,317-4,933
Issuances of long-term debt5,5004,850-5,5025,5485,4001,5022,0006,4512,7004,3445,9973,2247,495
Net change in revolving credit facilities--970440150-110760-640-560-2,4802,780120-1,020-1,880
Repayment of long-term debt6,6402,4411,6625,1644,9204,4757531,7045,3243,4373,8692,8309092,410
Distributions to noncontrolling interests--------5426267491,025640711
Payment of debt issuance costs926257350402625733538533167
Payment of dividends-------487550153624653661690
Repurchase of common stock1,503--1,7502,3972,7512,0511,5301,0314418,2157,0003,8116,042
Other48-67-90-18-47-98-45-248-142-205-284-212-246-277
Net cash used in financing activities-976-1,780-1,625-1,378----3,075-1,771-4,677-6,655-5,656-4,094-4,582
Effect of exchange rate changes on cash and cash equivalents--------15810-3-207-1
Change in cash and cash equivalents--------2301191,172-342-54327998
Interest payments1,9871,7231,8321,7581,6501,6661,7001,7441,9141,6071,5021,6621,8921,938
Income Taxes Paid, Net-2566186941,0571,1861,2551,2058728491,0022,1821,1751,3861,844