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Pediatrix Medical Group MD Cash Flow Statement

TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$174.22M+5.3%$165.39M
$22.61M+3.6%$21.83M-5.4%$23.07M-3.0%$23.77M-12.8%$27.25M-15.4%
$19.07M+5.7%$18.05M+16.9%$15.44M+7.2%$14.4M+15.7%$12.44M+4.8%
$258.71M-4.6%$271.09M-6.5%$290M+18.6%$244.55M+14.1%$214.34M+3.8%
$21.39M+15.9%$18.46M+11.1%$16.61M-5.4%$17.56M-12.2%$20.01M-9.1%
$30.2M+30.2%$23.2M
-$20.89M+21.5%-$26.63M+24.8%
$106.57M+22.9%$86.68M+272%$23.29M+802%$2.58M+8.3%$2.39M+40.0%
$0
-$129.09M-20.1%-$107.49M-145%-$43.82M-139%-$18.33M+81.1%-$96.72M-568%
$106.8M-26.5%$145.3M-38.5%$236.23M+15.0%$205.33M+126%$90.98M-41.9%
$237.32M-6.1%$252.63M-7.6%$273.39M+20.4%$226.99M+16.8%$194.33M+5.3%

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Questions, answered.

Where does Pediatrix Medical Group's cash flow data come from?
Every line is extracted from Pediatrix Medical Group's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.