Medical Care Facilities
The Medical Care Facilities industry has a total of 52 stocks, with a combined market cap of $195.41 billion, total revenue of $234.69 billion and a weighted average PE ratio of 16.77.
Market Cap
195.41B
Revenue
234.69B
Profits
11.65B
PE Ratio
16.77
Profit Margin
4.96%
Dividend Yield
0.63%
52 Stocks
No. | Symbol | Company Name | Market Cap | % Change | Volume | Revenue |
---|---|---|---|---|---|---|
1 | HCA | HCA Healthcare, Inc. | 75.59B | -1.35% | 236,204 | 69.62B |
2 | FMS | Fresenius Medical Care AG | 13.51B | -0.89% | 29,257 | 21.46B |
3 | DVA | DaVita Inc. | 12.32B | -2.61% | 140,698 | 12.67B |
4 | THC | Tenet Healthcare Corporation | 12.02B | -1.20% | 142,520 | 20.97B |
5 | UHS | Universal Health Services, Inc. | 11.76B | -1.22% | 45,755 | 15.42B |
6 | EHC | Encompass Health Corporation | 9.33B | -1.07% | 95,752 | 5.22B |
7 | CHE | Chemed Corporation | 7.81B | 0.11% | 22,649 | 2.38B |
8 | ENSG | The Ensign Group, Inc. | 7.56B | -0.79% | 46,308 | 4.11B |
9 | OPCH | Option Care Health, Inc. | 3.86B | -0.70% | 163,068 | 4.78B |
10 | ACHC | Acadia Healthcare Company, Inc. | 3.58B | 1.41% | 462,828 | 3.12B |
11 | AMED | Amedisys, Inc. | 2.96B | 0.43% | 103,870 | 2.32B |
12 | LFST | LifeStance Health Group, Inc. | 2.82B | -1.60% | 287,014 | 1.21B |
13 | SGRY | Surgery Partners, Inc. | 2.61B | -1.53% | 4,837 | 2.99B |
14 | CON | Concentra Group Holdings Parent, Inc. | 2.57B | -0.91% | 135,083 | 1.88B |
15 | SEM | Select Medical Holdings Corporation | 2.43B | -0.87% | 225,776 | 6.97B |
16 | ARDT | Ardent Health Partners, Inc. | 2.37B | -1.77% | 57,373 | 5.71B |
17 | ADUS | Addus HomeCare Corporation | 2.28B | -1.01% | 11,873 | 1.13B |
18 | PACS | PACS Group, Inc. | 1.98B | -2.08% | 69,947 | 3.56B |
19 | NHC | National HealthCare Corporation | 1.68B | -0.08% | 13,581 | 1.22B |
20 | ASTH | Astrana Health, Inc. | 1.56B | -2.66% | 36,423 | 1.72B |
21 | USPH | U.S. Physical Therapy, Inc. | 1.35B | -1.24% | 14,064 | 639.06M |
22 | GRDN | Guardian Pharmacy Services, Inc. | 1.32B | -1.77% | 20,885 | 1.17B |
23 | MD | Pediatrix Medical Group, Inc. | 1.13B | -0.97% | 74,899 | 2.01B |
24 | BKDT | Brookdale Senior Living Inc. | 1.01B | -4.77% | 152 | 2.95B |
25 | BKD | Brookdale Senior Living Inc. | 994.07M | -1.58% | 268,955 | 2.95B |
26 | AMN | AMN Healthcare Services, Inc. | 908.44M | -1.57% | 147,014 | 3.07B |
27 | PNTG | The Pennant Group, Inc. | 894.78M | -2.18% | 28,481 | 652.30M |
28 | AVAH | Aveanna Healthcare Holdings Inc. | 869.51M | -3.43% | 88,884 | 1.98B |
29 | HCSG | Healthcare Services Group, Inc. | 838.82M | -0.65% | 62,674 | 1.70B |
30 | AGL | agilon health, inc. | 780.77M | -0.26% | 837,758 | 5.59B |
31 | CCRN | Cross Country Healthcare, Inc. | 591.84M | -0.11% | 134,898 | 1.45B |
32 | INNV | InnovAge Holding Corp. | 540.47M | 1.79% | 34,443 | 786.51M |
33 | AUNA | Auna S.A. | 491.55M | -2.92% | 22,918 | 1.17B |
34 | DCGO | DocGo Inc. | 440.86M | -1.37% | 117,581 | 694.97M |
35 | SNDA | Sonida Senior Living, Inc. | 412.91M | -1.77% | 11,258 | 253.20M |
36 | CYH | Community Health Systems, Inc. | 403.80M | 0.66% | 994,028 | 12.55B |
37 | EHAB | Enhabit, Inc. | 386.43M | 0.07% | 58,296 | 1.04B |
38 | AIRS | AirSculpt Technologies, Inc. | 311.41M | -3.58% | 199,684 | 188.78M |
39 | CMPS | COMPASS Pathways plc | 259.36M | -4.99% | 341,511 | - |
40 | BTMD | biote Corp. | 212.92M | -2.17% | 17,663 | 193.06M |
41 | NUTX | Nutex Health Inc. | 166.26M | -3.99% | 8,389 | 292.00M |
42 | MODV | ModivCare Inc. | 150.34M | -7.27% | 94,135 | 2.79B |
43 | JYNT | The Joint Corp. | 146.09M | -1.53% | 12,490 | 120.80M |
44 | PIII | P3 Health Partners Inc. | 71.76M | - | 186,627 | 1.48B |
45 | CCEL | Cryo-Cell International, Inc. | 59.87M | -3.77% | 12,744 | 31.84M |
46 | TOI | The Oncology Institute, Inc. | 24.32M | 1.71% | 577,080 | 378.93M |
47 | CCM | Concord Medical Services Holdings Limited | 23.84M | 9.36% | 7,120 | 64.91M |
48 | AMS | American Shared Hospital Services | 20.26M | -1.10% | 6,295 | 24.97M |
49 | SYRA | Syra Health Corp. | 7.35M | -3.74% | 104,528 | 7.74M |
50 | KDLY | Kindly MD, Inc. | 7.29M | 6.10% | 239,115 | 2.88M |
51 | RHE | Regional Health Properties, Inc. | 2.78M | - | 4,961 | 15.75M |
52 | BACK | IMAC Holdings, Inc. | 2.54M | -3.10% | 12,665 | 15.75K |