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PACS Group PACS Balance Sheet Statement

FY'25FY'24FY'23FY'22
$232.05M+44.3%$160.84M+35.5%$118.7M+20.9%$98.21M+43.2%
$3.17M
$2.58B+6.9%$2.41B+262%$664.41M+481%$114.42M
$392.47M+59.0%$246.88M+305%$60.93M+856%$6.37M
$1.07B+14.0%$938.26M+29.9%$722.15M
$1.2B+2,162%$53.11M+44.2%$36.84M
$154.17M+45.8%$105.72M+60.7%$65.8M
$1.36B+23.6%$1.1B+70.4%$643.33M
6.5%+0.1%6.4%+0.7%5.7%+0.6%5.1%
$61.79M+1.6%$60.79M+3.0%$59.02M+6.9%$55.22M
$6.89M+39.8%$4.93M+21.1%$4.07M
-$40.08M-339%-$9.14M-376%-$1.92M
$171.37M+6.4%$161.11M+29.6%$124.31M
$30.8M-17.1%$37.17M+201%$12.36M
$5.58B+6.5%$5.24B+49.3%$3.51B
$768.35M+25.4%$612.55M$32.81M
$187.52M+28.3%$146.18M+58.5%$92.23M
$3.01M+43.3%$2.1M+74.5%$1.2M
$4.46M-70.0%$14.85M-11.7%$16.82M
$153.07M+12.4%$136.23M+24.5%$109.44M
$1B+2.4%$978.43M+114%$456.93M
$354K-63.2%$963K-31.8%$1.41M
$244.8M-2.5%$250.98M+28.2%$195.71M
$2.94B+0.1%$2.94B+49.6%$1.96B
$155.9M+6.3%$146.65M
$3.09B+0.7%$3.07B
$126.96M+1.2%$125.47M+208%$40.77M
$152.94M-22.4%$197.05M+51.3%$130.22M
$4.63B+2.3%$4.53B+32.7%$3.41B
1.3B0.0%1.3B-98.1%64.4B
$637.04M+7.7%$591.36M$0
$309.58M+162%$118.04M+23.0%$96M
$5.68M-7.5%$6.14M+9.6%$5.6M
$946.77M+33.4%$709.55M+638%$96.13M+40.0%$68.65M+377%
$5.58B+6.5%$5.24B+49.3%$3.51B
$73.97M-1.0%$74.75M+43.0%$52.26M
$73.97M-1.0%$74.75M+43.0%$52.26M
$0$0$0$0
$171.37M+6.4%$161.11M+29.6%$124.31M
$68.06M+1.5%$67.06M+2.7%$65.29M
$6.27M0.0%$6.27M0.0%$6.27M
$6.27M0.0%$6.27M0.0%$6.27M
$6.27M0.0%$6.27M0.0%$6.27M
$6.27M0.0%$6.27M0.0%$6.27M
$2.97B-0.9%$2.99B+49.1%$2.01B
$87.19M+31.6%$66.26M$0
$68.06M+1.5%$67.06M+2.7%$65.29M
$2.97B-0.9%$2.99B+49.1%$2.01B
$171.37M+6.4%$161.11M+29.6%$124.31M
$1.2B+21.3%$990.58M+71.5%$577.53M
$2.97B-0.9%$2.99B+49.1%$2.01B
$171.37M+6.4%$161.11M+29.6%$124.31M
$1.26M+27.4%$991K-53.0%$2.11M
$187.52M+28.3%$146.18M+58.5%$92.23M
$181.13M+24.2%$145.8M$0
$181.13M+24.2%$145.8M$0
$187.52M+28.3%$146.18M+58.5%$92.23M
$339.75M+70.0%$199.81M
$183.86M+246%$53.16M
$37.32M+24.9%$29.89M
$345.25M+6.0%$325.83M
$352.04M+6.6%$330.35M
$24.89M-73.1%$92.51M
$349.37M+6.9%$326.8M
$352.04M+6.6%$330.35M
$7.51M+373%$1.59M
$343.65M+6.8%$321.83M
$100M-29.6%$142M$0
$4.73B-0.6%$4.76B
$1.64B-2.9%$1.69B
$321.56M+33.5%$240.95M+47.8%$162.98M+18.0%$138.13M
$104.52M+1,017%$9.36M
$226.28M-2.1%$231.24M
$3.95M-3.2%$4.07M+64.3%$2.48M
$11.3M+44.9%$7.79M+78.0%$4.38M
$789.93M-1.9%$805.55M+44.9%$555.77M
$349.37M+6.9%$326.8M
$355.92M+7.0%$332.7M
$352.04M+6.6%$330.35M
$355.92M+7.0%$332.7M
$254.39M+365%$54.73M
$2.99B-4.4%$3.12B
$3.5B+0.4%$3.48B+49.9%$2.32B
$0.000.0%$0.000.0%$0.00
156.6M+0.9%155.2M+20.6%128.7M
$0$0$0$0
$157K+1.3%$155K+20.2%$129K
$7.12M-11.3%$8.03M+63.7%$4.9M
$00.0%$00.0%$0
$1.25B0.0%$1.25B-98.1%$64.36B
$156.62M+0.9%$155.18M+20.6%$128.72M
$156.62M+0.9%$155.18M+20.6%$128.72M
$181.13M+24.2%$145.8M$0
$181.13M+24.2%$145.8M$0
$359.79M+8.3%$332.3M
$359.79M+8.3%$332.3M
$370.14M-11.5%$418.34M
$357.27M+3.3%$345.93M
$5.07B+2.2%$4.96B
$1.82B+4.7%$1.74B
$11.3M+44.9%$7.79M+78.0%$4.38M
$874.08M-0.4%$877.96M+42.6%$615.85M
$6.89M+39.8%$4.93M+21.1%$4.07M
$939.3M+1.5%$925.18M+49.3%$619.7M
$823.13M-0.4%$826.4M+44.2%$573.23M
$63.96M+38.4%$46.23M+2,546%$1.75M
$938.04M+1.5%$924.19M+49.6%$617.59M
$6.4M+24.0%$5.17M$0
$3.01M+43.3%$2.1M+74.5%$1.2M
$42.1M+15.1%$36.58M+137%$15.43M
$30.47M+7.8%$28.28M+61.4%$17.52M
$1.26M+27.4%$991K-53.0%$2.11M
$7.12M-11.3%$8.03M+63.7%$4.9M
$354K-63.2%$963K-31.8%$1.41M
$11.01M+6.8%$10.31M-4.6%$10.8M
$65.66M+23.6%$53.11M+44.2%$36.84M
20.0%2
$30.8M-17.1%$37.17M+201%$12.36M
$18.4M-26.7%$25.12M+60.5%$15.65M
$28.94M+36.6%$21.18M+2,148%$942K
$339.75M+70.0%$199.81M
$254.39M+365%$54.73M
$37.32M+24.9%$29.89M
$7.51M+373%$1.59M
$7.75M+297%$1.95M
$7.9M-58.7%$19.13M
$24.89M-73.1%$92.51M
$183.86M+246%$53.16M
$150.6M+8.0%$139.47M+268%$37.85M
$155.54M+7.1%$145.26M+258%$40.54M
$0$0$0$0
$6.27M0.0%$6.27M0.0%$6.27M
$17.45M+259%$4.86M-17.5%$5.9M
$26.18M+10.3%$23.73M-17.5%$28.78M
$32M
$4.73B-0.6%$4.76B
$1.64B-2.9%$1.69B
$8.35M+59.1%$5.25M
$104.52M+1,017%$9.36M
$4.9M+4.1%$4.7M
$4.7M+4.1%$4.52M
$226.28M-2.1%$231.24M
$4.46M-97.2%$156.85M
$100M$0-100%$520M
$5.68M-7.5%$6.14M+9.6%$5.6M
36+2.9%35
1-83.3%6
30.0%3
490.0%49
53+20.5%44
130.0%13
$0.07+1.6%$0.06+12.3%$0.06+11.8%$0.05
$154.03M+8.2%$142.35M+104%$69.95M
$128.99M+69.8%$75.97M+176%$27.54M
$192.56M+16.7%$164.98M+12.9%$146.17M
$3.25B+0.9%$3.22B
$3.24B+2.0%$3.18B
$363.43M+8.7%$334.28M
6.5%+0.4%6.1%-1.1%7.2%+5.8%1.4%
$0.07+6.6%$0.06-15.3%$0.07+414%$0.01

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Questions, answered.

Can PACS Group cover its short-term obligations?
Its current ratio is 0.99 — current liabilities exceed current assets.
Where does PACS Group's balance sheet data come from?
Every line is extracted from PACS 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.