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HCA HCA Healthcare

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  • 332.020
  • +4.100+1.25%
Close Apr 28 16:00 ET
  • 332.020
  • 0.0000.00%
Post 20:01 ET
81.74BMarket Cap14.74P/E (TTM)

HCA Healthcare Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-33.13%1.65B
11.48%10.51B
-4.30%2.56B
41.79%3.52B
-20.36%1.97B
36.94%2.47B
10.67%9.43B
5.82%2.67B
-17.91%2.48B
51.84%2.48B
Net income from continuing operations
1.28%1.83B
9.29%6.66B
-9.40%1.69B
16.24%1.48B
19.48%1.69B
16.79%1.8B
-10.87%6.09B
-29.67%1.86B
-5.13%1.28B
2.39%1.41B
Operating gains losses
99.50%-1M
-380.00%-14M
2,885.71%195M
300.00%4M
-1,100.00%-12M
-1,440.00%-201M
100.41%5M
99.47%-7M
-166.67%-2M
-100.91%-1M
Depreciation and amortization
8.18%860M
7.64%3.31B
8.49%856M
9.49%842M
7.34%819M
5.16%795M
3.64%3.08B
5.20%789M
2.67%769M
3.39%763M
Deferred tax
10.81%492M
-90.39%22M
-47.02%89M
-208.62%-63M
-21.41%-448M
19.35%444M
-59.89%229M
-59.22%168M
52.63%58M
-64.00%-369M
Other non cash items
-11.11%64M
26.34%283M
118.75%70M
21.05%46M
31.94%95M
-12.20%72M
23.08%224M
-11.11%32M
-24.00%38M
41.18%72M
Change In working capital
-218.30%-1.69B
76.81%-106M
-86.73%-422M
319.33%1.13B
-152.03%-282M
49.14%-530M
60.33%-457M
-205.41%-226M
-64.09%269M
206.69%542M
-Change in receivables
-263.33%-327M
14.55%-799M
-11.34%-854M
171.73%340M
-386.76%-195M
-137.82%-90M
-17.31%-935M
-147.42%-767M
-890.00%-474M
156.67%68M
-Change in inventory
-567.53%-360M
365.08%334M
1.35%150M
833.33%252M
-66.67%-145M
135.98%77M
-113.56%-126M
232.14%148M
-94.76%27M
74.49%-87M
-Change in payables and accrued expense
-93.42%-1B
-40.56%359M
-28.24%282M
-25.14%536M
-89.66%58M
51.50%-517M
304.05%604M
12.93%393M
311.49%716M
1,293.62%561M
Cash from discontinued investing activities
Operating cash flow
-33.13%1.65B
11.48%10.51B
-4.30%2.56B
41.79%3.52B
-20.36%1.97B
36.94%2.47B
10.67%9.43B
5.82%2.67B
-17.91%2.48B
51.84%2.48B
Investing cash flow
Cash flow from continuing investing activities
-14.29%-1.03B
7.22%-4.93B
15.72%-1.35B
-3.05%-1.35B
-5.97%-1.33B
21.55%-903M
-56.89%-5.32B
-101.39%-1.6B
-140.29%-1.31B
-4.32%-1.26B
Net PPE purchase and sale
11.36%-991M
-2.76%-4.88B
-10.87%-1.29B
-3.84%-1.19B
-3.22%-1.28B
6.60%-1.12B
-7.94%-4.74B
12.40%-1.16B
-1.41%-1.15B
-14.91%-1.24B
Net business purchase and sale
-130.84%-66M
114.03%62M
92.44%-26M
36.99%-92M
-1,600.00%-34M
328.00%214M
-143.63%-442M
-164.06%-344M
-125.52%-146M
98.15%-2M
Net investment purchase and sale
1,300.00%28M
-2.68%-115M
63.41%-30M
-407.14%-71M
-433.33%-16M
115.38%2M
-900.00%-112M
-2,150.00%-82M
-216.67%-14M
75.00%-3M
Net other investing changes
-200.00%-3M
73.68%-5M
----
----
90.91%-1M
-111.11%-1M
9.52%-19M
-9.09%-12M
-600.00%-5M
-120.00%-11M
Cash from discontinued investing activities
Investing cash flow
-14.29%-1.03B
7.22%-4.93B
15.72%-1.35B
-3.05%-1.35B
-5.97%-1.33B
21.55%-903M
-56.89%-5.32B
-101.39%-1.6B
-140.29%-1.31B
-4.32%-1.26B
Financing cash flow
Cash flow from continuing financing activities
-22.94%-1.5B
-11.92%-4.58B
-108.18%-2.16B
90.28%-110M
8.76%-1.09B
-67.72%-1.22B
27.62%-4.09B
43.47%-1.04B
51.14%-1.13B
37.80%-1.2B
Net issuance payments of debt
190.13%1.56B
147.49%3.21B
-134.41%-64M
515.04%2.09B
708.75%647M
-22.17%537M
-60.60%1.3B
-40.95%186M
127.47%339M
-92.63%80M
Net common stock issuance
-112.37%-2.51B
-58.54%-6.04B
-86.81%-1.7B
-57.46%-1.8B
-49.40%-1.37B
-39.48%-1.18B
45.56%-3.81B
40.09%-910M
-63.32%-1.14B
65.88%-915M
Cash dividends paid
2.70%-180M
-4.39%-690M
-3.13%-165M
-4.32%-169M
-4.27%-171M
-5.71%-185M
-1.23%-661M
-2.56%-160M
-1.25%-162M
-2.50%-164M
Net other financing activities
5.41%-367M
-15.05%-1.06B
-50.97%-234M
-36.69%-231M
-1.51%-202M
1.52%-388M
28.91%-917M
67.57%-155M
24.89%-169M
-17.06%-199M
Cash from discontinued financing activities
Financing cash flow
-22.94%-1.5B
-11.92%-4.58B
-108.18%-2.16B
90.28%-110M
8.76%-1.09B
-67.72%-1.22B
27.62%-4.09B
43.47%-1.04B
51.14%-1.13B
37.80%-1.2B
Net cash flow
Beginning cash position
106.74%1.93B
2.97%935M
224.13%2.89B
-3.60%831M
52.49%1.28B
2.97%935M
-37.42%908M
-10.81%891M
0.47%862M
-64.49%842M
Current changes in cash
-350.29%-876M
4,895.00%999M
-2,600.00%-950M
5,765.71%2.05B
-2,370.00%-454M
579.45%350M
103.82%20M
136.54%38M
-77.71%35M
101.33%20M
Effect of exchange rate changes
400.00%3M
-114.29%-1M
-183.33%-5M
166.67%4M
--1M
-114.29%-1M
135.00%7M
-53.85%6M
62.50%-6M
--0
End cash Position
-17.45%1.06B
106.74%1.93B
106.74%1.93B
224.13%2.89B
-3.60%831M
52.49%1.28B
2.97%935M
2.97%935M
-10.81%891M
0.47%862M
Free cash flow
-51.15%660M
20.31%5.64B
-15.91%1.27B
74.47%2.32B
-44.08%690M
122.94%1.35B
13.57%4.69B
25.83%1.52B
-29.49%1.33B
124.36%1.23B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -33.13%1.65B11.48%10.51B-4.30%2.56B41.79%3.52B-20.36%1.97B36.94%2.47B10.67%9.43B5.82%2.67B-17.91%2.48B51.84%2.48B
Net income from continuing operations 1.28%1.83B9.29%6.66B-9.40%1.69B16.24%1.48B19.48%1.69B16.79%1.8B-10.87%6.09B-29.67%1.86B-5.13%1.28B2.39%1.41B
Operating gains losses 99.50%-1M-380.00%-14M2,885.71%195M300.00%4M-1,100.00%-12M-1,440.00%-201M100.41%5M99.47%-7M-166.67%-2M-100.91%-1M
Depreciation and amortization 8.18%860M7.64%3.31B8.49%856M9.49%842M7.34%819M5.16%795M3.64%3.08B5.20%789M2.67%769M3.39%763M
Deferred tax 10.81%492M-90.39%22M-47.02%89M-208.62%-63M-21.41%-448M19.35%444M-59.89%229M-59.22%168M52.63%58M-64.00%-369M
Other non cash items -11.11%64M26.34%283M118.75%70M21.05%46M31.94%95M-12.20%72M23.08%224M-11.11%32M-24.00%38M41.18%72M
Change In working capital -218.30%-1.69B76.81%-106M-86.73%-422M319.33%1.13B-152.03%-282M49.14%-530M60.33%-457M-205.41%-226M-64.09%269M206.69%542M
-Change in receivables -263.33%-327M14.55%-799M-11.34%-854M171.73%340M-386.76%-195M-137.82%-90M-17.31%-935M-147.42%-767M-890.00%-474M156.67%68M
-Change in inventory -567.53%-360M365.08%334M1.35%150M833.33%252M-66.67%-145M135.98%77M-113.56%-126M232.14%148M-94.76%27M74.49%-87M
-Change in payables and accrued expense -93.42%-1B-40.56%359M-28.24%282M-25.14%536M-89.66%58M51.50%-517M304.05%604M12.93%393M311.49%716M1,293.62%561M
Cash from discontinued investing activities
Operating cash flow -33.13%1.65B11.48%10.51B-4.30%2.56B41.79%3.52B-20.36%1.97B36.94%2.47B10.67%9.43B5.82%2.67B-17.91%2.48B51.84%2.48B
Investing cash flow
Cash flow from continuing investing activities -14.29%-1.03B7.22%-4.93B15.72%-1.35B-3.05%-1.35B-5.97%-1.33B21.55%-903M-56.89%-5.32B-101.39%-1.6B-140.29%-1.31B-4.32%-1.26B
Net PPE purchase and sale 11.36%-991M-2.76%-4.88B-10.87%-1.29B-3.84%-1.19B-3.22%-1.28B6.60%-1.12B-7.94%-4.74B12.40%-1.16B-1.41%-1.15B-14.91%-1.24B
Net business purchase and sale -130.84%-66M114.03%62M92.44%-26M36.99%-92M-1,600.00%-34M328.00%214M-143.63%-442M-164.06%-344M-125.52%-146M98.15%-2M
Net investment purchase and sale 1,300.00%28M-2.68%-115M63.41%-30M-407.14%-71M-433.33%-16M115.38%2M-900.00%-112M-2,150.00%-82M-216.67%-14M75.00%-3M
Net other investing changes -200.00%-3M73.68%-5M--------90.91%-1M-111.11%-1M9.52%-19M-9.09%-12M-600.00%-5M-120.00%-11M
Cash from discontinued investing activities
Investing cash flow -14.29%-1.03B7.22%-4.93B15.72%-1.35B-3.05%-1.35B-5.97%-1.33B21.55%-903M-56.89%-5.32B-101.39%-1.6B-140.29%-1.31B-4.32%-1.26B
Financing cash flow
Cash flow from continuing financing activities -22.94%-1.5B-11.92%-4.58B-108.18%-2.16B90.28%-110M8.76%-1.09B-67.72%-1.22B27.62%-4.09B43.47%-1.04B51.14%-1.13B37.80%-1.2B
Net issuance payments of debt 190.13%1.56B147.49%3.21B-134.41%-64M515.04%2.09B708.75%647M-22.17%537M-60.60%1.3B-40.95%186M127.47%339M-92.63%80M
Net common stock issuance -112.37%-2.51B-58.54%-6.04B-86.81%-1.7B-57.46%-1.8B-49.40%-1.37B-39.48%-1.18B45.56%-3.81B40.09%-910M-63.32%-1.14B65.88%-915M
Cash dividends paid 2.70%-180M-4.39%-690M-3.13%-165M-4.32%-169M-4.27%-171M-5.71%-185M-1.23%-661M-2.56%-160M-1.25%-162M-2.50%-164M
Net other financing activities 5.41%-367M-15.05%-1.06B-50.97%-234M-36.69%-231M-1.51%-202M1.52%-388M28.91%-917M67.57%-155M24.89%-169M-17.06%-199M
Cash from discontinued financing activities
Financing cash flow -22.94%-1.5B-11.92%-4.58B-108.18%-2.16B90.28%-110M8.76%-1.09B-67.72%-1.22B27.62%-4.09B43.47%-1.04B51.14%-1.13B37.80%-1.2B
Net cash flow
Beginning cash position 106.74%1.93B2.97%935M224.13%2.89B-3.60%831M52.49%1.28B2.97%935M-37.42%908M-10.81%891M0.47%862M-64.49%842M
Current changes in cash -350.29%-876M4,895.00%999M-2,600.00%-950M5,765.71%2.05B-2,370.00%-454M579.45%350M103.82%20M136.54%38M-77.71%35M101.33%20M
Effect of exchange rate changes 400.00%3M-114.29%-1M-183.33%-5M166.67%4M--1M-114.29%-1M135.00%7M-53.85%6M62.50%-6M--0
End cash Position -17.45%1.06B106.74%1.93B106.74%1.93B224.13%2.89B-3.60%831M52.49%1.28B2.97%935M2.97%935M-10.81%891M0.47%862M
Free cash flow -51.15%660M20.31%5.64B-15.91%1.27B74.47%2.32B-44.08%690M122.94%1.35B13.57%4.69B25.83%1.52B-29.49%1.33B124.36%1.23B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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