Premier, Inc.PINC

時価総額
$23.3億
PER
医療向けテクノロジー改善サービスの最大手。統合データ分析、SaaS型臨床インテリジェンス、グループ購買とプロキュア・トゥ・ペイを展開。2025年6月13日にIllumiCareを約4,750万ドルで買収。米国全域で約2,700名の従業員と展開。
2014年
6月30日
2015年
6月30日
2016年
6月30日
2017年
6月30日
2018年
6月30日
2019年
6月30日
2020年
6月30日
2021年
6月30日
2022年
6月30日
2023年
6月30日
2024年
6月30日
2025年
6月30日
Cash and Cash Equivalent13214724915715214199129869012584
Accounts Receivable, after Allowance for Credit Loss, Current689914416018618913514111411512799
Contract with Customer, Asset, after Allowance for Credit Loss, Current-----206216267260299336318
Prepaid expenses and other current assets312220352324976866608185
Current assets of discontinued operations-----3------
Total current assets422553463409429614618782646642748586
Property, Plant and Equipment, Net135148174187207205207224213212206201
Intangible Assets, Net (Excluding Goodwill)1139158378322271417397357430269251
Goodwill942165389079078819421,0001,0001,012996898
Deferred income tax assets---482306422430782725654776763
Deferred compensation plan assets-3740424545496047505435
Equity Method Investments---9394100133153216232229263
Operating lease right-of-use assets------58484029215
Other assets44172910432947711411010396
Total assets1,2471,5301,8552,5082,3122,5702,9493,5233,3573,3713,4013,097
Accounts payable283846436055558545546020
Accrued expenses264157566482544841476659
Revenue share obligations5759647279137146227245262293347
Accrued compensation and benefits47516054647173101946110199
Deferred revenue-----36353430242023
Line of Credit, Current-------781532171280
Notes Payable, Current182----------
Liability, Sale Of Future Revenues, Current----------5250
Other current liabilities0533287324747515333
Current liabilities of discontinued operations-----12-----0
Total current liabilities224270326572449458496717753815747911
Liability, Sale Of Future Revenues, Noncurrent----------599591
Deferred compensation plan obligations333740424545496047505435
Operating Lease, Liability, Noncurrent------53433322112
Other liabilities221244264687611243472828
Total liabilities4725686701,0328199091,0891,2931,1081,0371,4391,566
Class A Common Stock000111111111
Common Stock, Value, Issued------------
Treasury stock, at cost; 9,003,940 and 6,429,375 shares at June 30, 2025 and 2024, respectively---------250250162
Additional paid-in capital------1392,0592,1662,1782,1062,176
(Accumulated deficit) retained earnings-2,470-3,118-1,952-1,663-1,278-776-169332405106-485
Accumulated other comprehensive loss0-0-0------0-0-0-0
Class A Common Stock000111111111
Total stockholders' equity-2,470-3,118-1,951-1,662-1,427-8621392,2302,2492,3341,9621,531
Total liabilities and stockholders' equity1,2471,5301,8552,5082,3122,5702,9493,5233,3573,3713,4013,097