UNIVERSAL HEALTH SERVICES INCUHS

Market cap
$16B
P/E ratio
Dec 31,
2010
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
Net income276449489554605751747771798828953988657
Depreciation & amortization-------448453490510533582
Loss (gain) on sales of assets and businesses-----------25-1
Stock-based compensation expense17182328314048576769667485
Costs related to extinguishment of debt--------3-117-
Asset Impairment Charges---------98-1458
Accounts receivable-23135715010646882542421469258
Accrued interest-84-01-41-10-14-010-5-2
Accrued and deferred income taxes---10-35-3434-2265425-105430
Other working capital accounts2628-29-26-74126-7415-25-40-125-47147
Medicare accelerated payments and deferred CARES Act and other grants-----------699699-2
Other assets and deferred charges-12-37-31-9-14-726293127539-20
Other1-162322381-43658109-82-9
Increase (Decrease) in Self Insurance Reserve--63-459918510393106159186175
Payments made in settlement of self-insurance claims--757170798279769811392142
Net cash provided by operating activities5017188158841,0361,0211,2881,1831,3411,4382,360884996
Property and equipment additions239286363358391379520558665634731856734
Acquisition of businesses and property--528134315346142311085210520
Inflows (outflows) from foreign exchange contracts that hedge our net U.K. investment---------2022-1-95
Proceeds From Sale Of Assets And Business-----3-014982512
Costs incurred for purchase and implementation of information technology applications---------213-20-
Decrease (increase) in capital reserves of commercial insurance subsidiary------------0-0
Investment in, and advances to, joint ventures and other---------153--
Net cash used in investing activities-2,194-286-790-383-833-913-1,187-624-813-688-803-914-647
Repayments of long-term debt1,39238285044087968459143830579633,03889
Additional borrowings--914168302341,17141791398023,255705
Financing costs102248015112014-10193
Repurchase of common shares126019271012103533643977712071,221833
Dividends paid---------53176658
Issuance of common stock45567810101011121314
Profit distributions to noncontrolling interests323827613462702515162075
Proceeds from (Payments to) Noncontrolling Interests-------------48
Net cash used in financing activities1,713-421-43-507-187-77-126-519-492-845-385-1,069-318
Effect of exchange rate changes on cash and cash equivalents---------311-0-8
Increase decrease in cash, cash equivalents and restricted cash--------32-941,173-1,10022
Interest paid7717615713113010710713615015711376120
Income Taxes Paid, Net152163265260259381345371294261286363251
Noncash purchases of property and equipment----3549668278647516772