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Chemed Corporation CHE
€ 321.34 -0.3%

Quartalsbericht 2025-Q3
hinzugefügt 31.10.2025

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Chemed Corporation Langfristiger Schuldenstrom 2011-2026 | CHE

Langfristiger Schuldenstrom Jährlich Chemed Corporation

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
42.3 M 38.6 M 39 M 37.9 M 36.2 M 39.3 M - 10 M 8.75 M 7.5 M 6.25 M 184 M - -

Alle Zahlen in USD-Währung

Indikatorenreichweite aus Jahresberichten

Höchstwert Mindestwert Durchschnitt
184 M 6.25 M 40.9 M

Langfristiger Schuldenstrom anderer Aktien in der Pflegeeinrichtungen

Name Langfristiger Schuldenstrom Preis % 24h Marktkapitalisierung Land
COMPASS Pathways plc COMPASS Pathways plc
CMPS
2.11 M $ 5.66 8.43 % $ 529 M britainBritain
Amedisys Amedisys
AMED
25.9 M - 0.01 % $ 3.3 B usaUSA
The Ensign Group The Ensign Group
ENSG
115 M $ 204.29 0.67 % $ 11.7 B usaUSA
Fresenius Medical Care AG & Co. KGaA Fresenius Medical Care AG & Co. KGaA
FMS
622 M $ 22.29 1.18 % $ 7.05 B germanyGermany
HCA Healthcare HCA Healthcare
HCA
352 M $ 485.19 -0.11 % $ 115 B usaUSA
Healthcare Services Group Healthcare Services Group
HCSG
5.36 M $ 19.61 1.21 % $ 1.42 B usaUSA
Apollo Medical Holdings Apollo Medical Holdings
AMEH
4.61 M - -2.11 % $ 1.84 B usaUSA
Acadia Healthcare Company Acadia Healthcare Company
ACHC
25.5 M $ 24.12 6.28 % $ 2.21 B usaUSA
The Joint Corp. The Joint Corp.
JYNT
5.3 M $ 8.45 0.84 % $ 122 M usaUSA
Avalon GloboCare Corp. Avalon GloboCare Corp.
AVCO
10.7 K - 26.45 % $ 70.6 M usaUSA
Encompass Health Corporation Encompass Health Corporation
EHC
26.5 M $ 99.0 1.55 % $ 9.95 B usaUSA
Aesthetic Medical International Holdings Group Limited Aesthetic Medical International Holdings Group Limited
AIH
32.3 M - 10.96 % $ 46.2 M chinaChina
MEDNAX MEDNAX
MD
11.6 M $ 21.27 2.51 % $ 1.79 B usaUSA
Novo Integrated Sciences Novo Integrated Sciences
NVOS
403 K - -13.87 % $ 1.52 M usaUSA
AMN Healthcare Services AMN Healthcare Services
AMN
7.99 M $ 18.83 1.84 % $ 738 M usaUSA
American Shared Hospital Services American Shared Hospital Services
AMS
226 K $ 1.9 - $ 12.3 M usaUSA
Hanger Hanger
HNGR
33.4 M - - $ 732 M usaUSA
Concord Medical Services Holdings Limited Concord Medical Services Holdings Limited
CCM
13.7 M $ 3.65 - $ 478 M chinaChina
DaVita DaVita
DVA
425 M $ 154.79 0.99 % $ 11.5 B usaUSA
National HealthCare Corporation National HealthCare Corporation
NHC
33.6 M $ 161.98 -0.01 % $ 2.51 B usaUSA
Phibro Animal Health Corporation Phibro Animal Health Corporation
PAHC
9.13 M $ 56.77 2.33 % $ 2.3 B usaUSA
Option Care Health Option Care Health
OPCH
24 M $ 28.62 0.72 % $ 4.64 B usaUSA
LHC Group LHC Group
LHCG
36.4 M - - $ 5.27 B usaUSA
Sanara MedTech Sanara MedTech
SMTI
353 K $ 16.07 -11.12 % $ 139 M usaUSA
Select Medical Holdings Corporation Select Medical Holdings Corporation
SEM
188 M $ 16.3 0.15 % $ 2 B usaUSA
Elanco Animal Health Incorporated Elanco Animal Health Incorporated
ELAN
38 M $ 25.54 2.57 % $ 12.7 B usaUSA
Addus HomeCare Corporation Addus HomeCare Corporation
ADUS
13.1 M $ 100.02 0.71 % $ 1.81 B usaUSA
Tenet Healthcare Corporation Tenet Healthcare Corporation
THC
214 M $ 200.28 0.29 % $ 18.1 B usaUSA
Universal Health Services Universal Health Services
UHS
73.2 M $ 186.36 0.24 % $ 11.8 B usaUSA
U.S. Physical Therapy U.S. Physical Therapy
USPH
42.1 M $ 75.68 1.8 % $ 1.15 B usaUSA
Surgery Partners Surgery Partners
SGRY
42.7 M $ 12.03 0.25 % $ 1.53 B usaUSA
IMAC Holdings IMAC Holdings
IMAC
1.48 M - -1.77 % $ 25.4 M usaUSA
Community Health Systems Community Health Systems
CYH
110 M $ 2.96 1.2 % $ 395 M usaUSA
ModivCare ModivCare
MODV
8.62 M - -25.23 % $ 6.12 M usaUSA
Oak Street Health Oak Street Health
OSH
24.6 M - 0.03 % $ 9.53 B usaUSA
Brookdale Senior Living Brookdale Senior Living
BKD
74.5 M $ 13.87 -0.61 % $ 3.26 B usaUSA
Ontrak Ontrak
OTRK
68 K - -11.98 % $ 1.53 M usaUSA
Regional Health Properties Regional Health Properties
RHE
26.4 M - - $ 5.2 M usaUSA
SunLink Health Systems SunLink Health Systems
SSY
331 K - 17.98 % $ 7.81 M usaUSA
Tivity Health Tivity Health
TVTY
7.41 M - 0.09 % $ 1.6 B usaUSA
The Pennant Group The Pennant Group
PNTG
25 M $ 31.09 0.23 % $ 1.07 B usaUSA