PACS Group, Inc. logo PACS - PACS Group, Inc.

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
0
BUY 7
HOLD 1
SELL 0
STRONG
SELL
0
| PRICE TARGET: $48.50 DETAILS
HIGH: $52.00
LOW: $42.00
MEDIAN: $50.00
CONSENSUS: $48.50
UPSIDE: 28.48%
Metric 2025 2024 2023 2022 2021
Revenue
Revenue 5,288.9 4,089.7 3,111.5 2,422.0 1,166.6
Cost of Revenue 4,129.7 3,297.1 2,664.4 2,021.3 979.2
Gross Profit 1,159.2 792.6 447.1 400.7 187.3
Operating Expenses
R&D Expenses 0 0 0 0 0
SG&A Expenses 415.1 343.8 213.7 149.0 96.8
Other Expenses 434.6 325.8 25.6 22.3 7.2
Operating Expenses 849.6 669.6 239.3 171.3 104.0
Operating Income
Operating Income 309.6 123.1 207.8 229.4 83.4
Interest Expense 28.4 44.3 49.9 25.5 5.3
Interest Income 0 0 0 0 0
Profitability
EBITDA 365.6 186.7 232.9 254.9 93.9
EBIT 309.9 145.9 207.2 232.6 86.7
Income Before Tax 284.4 101.6 157.3 207.0 81.4
Income Tax Expense 93.0 46.2 44.4 56.5 33.5
Net Income 191.5 55.8 112.9 150.5 47.9
Per Share Data
EPS (Basic) 1.23 0.38 0.75 1.00 0.32
EPS (Diluted) 1.22 0.38 0.75 1.00 0.32
Shares Outstanding 156.2 146.7 150.2 150.2 150.2
Metric 2025 2024 2023 2022
Current Assets
Cash & Cash Equivalents 197.0 157.7 73.4 66.1
Short-Term Investments 0 0 0 0
Net Receivables 702.1 716.5 600.1 420.1
Inventory 0 0 0 0
Other Current Assets 170.6 64.1 48.7 24.9
Total Current Assets 1,069.7 938.3 722.1 511.2
Non-Current Assets
Property, Plant & Equipment 4,169.3 3,985.1 2,585.3 1,775.6
Goodwill 68.1 60.8 59.0 55.2
Intangible Assets 0 6.3 6.3 6.3
Long-Term Investments 87.2 91.4 56.0 48.3
Other Non-Current Assets 189.8 161.1 84.0 65.3
Total Non-Current Assets 4,514.3 4,304.6 2,790.6 1,950.7
Total Assets 5,584.0 5,242.9 3,512.7 2,461.9
Current Liabilities
Account Payables 192.2 175.1 140.9 110.6
Short-Term Debt 157.5 156.9 16.8 61.4
Deferred Revenue 0 0 0 0
Other Current Liabilities 651.7 489.1 0 113.5
Total Current Liabilities 1,001.4 978.4 456.9 483.9
Non-Current Liabilities
Long-Term Debt 3,039.9 251.0 715.7 438.3
Deferred Tax Liabilities 0 0 0 0
Other Non-Current Liabilities 590.3 236.6 235.6 166.3
Total Non-Current Liabilities 3,630.2 3,548.8 2,954.1 1,909.4
Total Liabilities 4,631.6 4,527.2 3,411.0 2,393.2
Stockholders' Equity
Common Stock 0.2 0.2 0.0 0.0
Retained Earnings 309.6 118.0 96.1 63.6
Accumulated Other Comprehensive Income 0 0 0 0
Total Stockholders' Equity 946.8 709.6 96.1 63.6
Total Liabilities & Equity 5,584.0 5,242.9 3,512.7 2,461.9
Debt Metrics
Total Debt 3,197.4 3,626.5 2,845.7 1,925.5
Net Debt 3,000.4 3,468.8 2,772.3 1,859.4
Metric 2025 2024 2023 2022 2021
Operating Activities
Net Income 0 55.8 112.9 150.5 47.9
Depreciation & Amortization 0 40.8 25.6 22.3 7.2
Stock-Based Compensation 0 115.5 0 0 0
Change in Working Capital 72.7 158.2 (94.7) (94.3) (4.4)
Other Non-Cash Items 331.5 41.5 29.8 16.0 (1.0)
Operating Cash Flow 404.2 367.3 63.7 92.6 57.6
Investing Activities
Capital Expenditure (105.4) (66.5) (45.8) (78.2) (124.1)
Acquisitions 0 (281.3) (127.0) 0 (79.7)
Purchases of Investments 0 (90.9) (2.6) 0 (15.7)
Sales/Maturities of Investments 0 0 1.9 0 0.9
Other Investing Activities (264.0) (4.0) 0.8 2.9 0
Investing Cash Flow (264.0) (442.7) (172.8) (75.3) (218.6)
Financing Activities
Net Debt Issuance (60.2) (325.1) 209.4 69.4 235.8
Stock Repurchased 0 0 0 0 0
Dividends Paid 0 (33.7) (80.4) (60.3) (53.8)
Other Financing Activities (8.8) (33.1) 0.6 3.2 0
Financing Cash Flow (69.0) 117.5 129.6 12.3 182.0
Cash Position
Net Change in Cash 71.2 42.1 20.5 29.6 21.1
Cash at Beginning 160.8 118.7 98.2 68.6 47.5
Cash at End 232.1 160.8 118.7 98.2 68.6
Free Cash Flow 298.8 300.9 17.9 14.4 (66.5)
Key Metrics 2025 2024 2023 2022 2021
Income Statement
Revenue 5,288.9 4,089.7 3,111.5 2,422.0 1,166.6
Gross Profit 1,159.2 792.6 447.1 400.7 187.3
Operating Income 309.6 123.1 207.8 229.4 83.4
Net Income 191.5 55.8 112.9 150.5 47.9
EPS (Diluted) 1.22 0.38 0.75 1.00 0.32
Balance Sheet
Cash & Equivalents 197.0 157.7 73.4 66.1
Total Assets 5,584.0 5,242.9 3,512.7 2,461.9
Total Debt 3,197.4 3,626.5 2,845.7 1,925.5
Stockholders' Equity 946.8 709.6 96.1 63.6
Cash Flow
Operating Cash Flow 404.2 367.3 63.7 92.6 57.6
Capital Expenditure (105.4) (66.5) (45.8) (78.2) (124.1)
Free Cash Flow 298.8 300.9 17.9 14.4 (66.5)