ModivCare IncMODV

時価総額
$8.3億
PER
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
Net loss----839054-19189-7-32-204
Depreciation6881420221919119132025
Amortization---------17448079
Stock-based compensation44382758954676
Deferred income taxes-529,941-815,907-3-5-0-14-23-1012-18-37-18
Amortization of Debt Issuance Costs and Discounts----221101355
Impairment of goodwill------------183
Equity in net loss (income) of investee-----11-1012-6-309-53-410
Amortization of Debt Issuance Costs and Discounts----221101355
Reduction of right-of-use assets---------9111212
Other assets------------9
Accounts receivable and other receivables917-7178719-63130-5611565
Prepaid expenses and other assets679,959-255,71518-204-15-14-113812-7
Contract receivables------------73
Income tax refunds on sale of business--------31-10---
Prepaid expenses and other assets679,959-255,71518-204-15-14-113812-7
Accrued contract payables----------108-87-77
Accounts payable and accrued expenses-5,342,64921928-2233-9-22-4126-2357-8
Accrued transportation costs--------2-724-6-
Accrued transportation costs------------0
Other changes in operating assets and liabilities397,66240-104-12566-12-3-8
Equity in net loss (income) of investee-----11-1012-6-309-53-410
Reduction of right-of-use assets---------9111212
Accounts receivable and other receivables917-7178719-63130-5611565
Prepaid expenses and other assets679,959-255,71518-204-15-14-113812-7
Contract receivables------------73
Income tax refunds on sale of business--------31-10---
Prepaid expenses and other assets679,959-255,71518-204-15-14-113812-7
Accrued contract payables----------108-87-77
Accounts payable and accrued expenses-5,342,64921928-2233-9-22-4126-2357-8
Accrued transportation costs--------2-724-6-
Accrued transportation costs------------0
Other changes in operating assets and liabilities397,66240-104-12566-12-3-8
Net cash provided by (used in) operating activities31425555134155861348187-10-83
Purchase of property and equipment11101023354120181112213342
Acquisitions, net of cash acquired5190,00014173--44-62366479-
Net cash used in investing activities-14,615,765-6,635,225-14-4431433241-45-11-635-686-112-42
Proceeds from long-term debt115-765013453-4212737625114-
Proceeds from Short-Term Debt------------114
Repayment of debt147208349305357-4212237125114-
Proceeds from long-term debt115-765013453-4212737625114-
Repurchase of common stock, for treasury51,0664113770295671040--
Payment of debt issuance costs----00----1320
Proceeds from Stock Options Exercised56,232948,8501011542121125370
Restricted stock surrendered for employee tax payment---------0111
Preferred stock redemption payment---------89---
Other financing activities-------2-3-1-16-01
Preferred stock dividends----444442---
Net cash provided by financing activities-34,455,563-23,198,4812453-231-377-34-52-14084494113
Other financing activities-------2-3-1-16-01
Net cash provided by financing activities-34,455,563-23,198,4812453-231-377-34-52-14084494113
Net change in cash, cash equivalents and restricted cash--------8949122-50-118-12
Cash paid for interest--------12325964
Income Taxes Paid, Net---------302213169
Lease Obligation Incurred-----5-1--24713
Purchase price--1526---55-64467979-
Cash acquired---37---1-21140-
Acquisitions, net of cash acquired5190,00014173--44-62366479-