
New Frontier Health Corporation NFH
New Frontier Health Corporation Total Assets 2011-2026 | NFH
Total Assets — these are all the resources owned by the business that have economic value. They are used to operate the business, generate profit, and ensure the company’s stability.Main categories of assets
Current assets (used within one year):
- Cash and cash equivalents
- Accounts receivable (amounts owed by customers)
- Inventory of goods, raw materials, and supplies
- Short-term investments
- Fixed assets (buildings, machinery, equipment)
- Intangible assets (brands, patents, software)
- Long-term investments
- Goodwill (reputational value from mergers)
Assets represent an objective measure of a business's value, reflecting everything behind it: physical infrastructure, technology, customer base, and financial resources. A high share of liquid assets such as cash indicates a company’s financial flexibility and its ability to maintain stability in changing market conditions.
Asset analysis helps assess how effectively a company utilizes its resources to generate revenue and profit, reflecting its operational efficiency and ability to convert invested capital into financial results.
Annual Total Assets New Frontier Health Corporation
| 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 |
|---|---|---|---|---|---|---|---|---|---|
| 13.4 B | 14.6 B | 2.01 B | - | - | - | - | - | - | - |
All numbers in USD currency
Indicator range from annual reports
| Maximum | Minimum | Average |
|---|---|---|
| 14.6 B | 2.01 B | 10 B |
Total Assets of other stocks in the Care facilities industry
| Issuer | Total Assets | Price | % 24h | Market Cap | Country | |
|---|---|---|---|---|---|---|
|
Мать и Дитя
MDMG
|
33.2 B | - | - | - | ||
|
Apollo Medical Holdings
AMEH
|
933 M | - | -2.11 % | $ 1.84 B | ||
|
Amedisys
AMED
|
2.14 B | - | 0.01 % | $ 3.3 B | ||
|
American Shared Hospital Services
AMS
|
55.5 M | $ 1.35 | - | $ 8.93 M | ||
|
Concord Medical Services Holdings Limited
CCM
|
6.73 B | $ 3.91 | -0.26 % | $ 512 M | ||
|
Acadia Healthcare Company
ACHC
|
5.96 B | $ 23.96 | 1.23 % | $ 2.2 B | ||
|
Avalon GloboCare Corp.
AVCO
|
23.4 M | - | 26.45 % | $ 70.6 M | ||
|
Chemed Corporation
CHE
|
1.67 B | $ 380.6 | 0.8 % | $ 5.72 B | ||
|
Genesis Healthcare, Inc.
GEN
|
4.06 B | - | - | $ 68.1 M | ||
|
Fresenius Medical Care AG & Co. KGaA
FMS
|
31 B | $ 22.41 | 0.27 % | $ 7.05 B | ||
|
Aesthetic Medical International Holdings Group Limited
AIH
|
486 M | - | 10.96 % | $ 46.2 M | ||
|
Capital Senior Living Corporation
CSU
|
703 M | - | -2.09 % | $ 216 M | ||
|
Five Star Senior Living Inc.
FVE
|
454 M | - | -0.32 % | $ 98.4 M | ||
|
Encompass Health Corporation
EHC
|
7.09 B | $ 97.39 | 0.01 % | $ 9.79 B | ||
|
The Ensign Group
ENSG
|
5.46 B | $ 196.62 | -1.74 % | $ 11.3 B | ||
|
AMN Healthcare Services
AMN
|
2.92 B | $ 18.2 | -1.94 % | $ 713 M | ||
|
HCA Healthcare
HCA
|
60.7 B | $ 471.84 | -0.61 % | $ 112 B | ||
|
Hanger
HNGR
|
998 M | - | - | $ 732 M | ||
|
DaVita
DVA
|
17.5 B | $ 145.58 | -3.17 % | $ 10.8 B | ||
|
IMAC Holdings
IMAC
|
1.59 M | - | -1.77 % | $ 25.4 M | ||
|
LHC Group
LHCG
|
2.9 B | - | - | $ 5.27 B | ||
|
MEDNAX
MD
|
2.25 B | $ 21.18 | 2.32 % | $ 1.78 B | ||
|
ModivCare
MODV
|
1.65 B | - | -25.23 % | $ 6.12 M | ||
|
Elanco Animal Health Incorporated
ELAN
|
13.4 B | $ 23.08 | -0.17 % | $ 11.5 B | ||
|
Addus HomeCare Corporation
ADUS
|
1.44 B | $ 91.59 | -2.41 % | $ 1.65 B | ||
|
National HealthCare Corporation
NHC
|
1.53 B | $ 162.75 | 3.03 % | $ 2.52 B | ||
|
Novo Integrated Sciences
NVOS
|
32.1 M | - | -13.87 % | $ 1.52 M | ||
|
Option Care Health
OPCH
|
3.46 B | $ 27.47 | 3.7 % | $ 4.45 B | ||
|
Phibro Animal Health Corporation
PAHC
|
1.36 B | $ 55.52 | 1.39 % | $ 2.25 B | ||
|
The Pennant Group
PNTG
|
968 M | $ 29.66 | -2.27 % | $ 1.03 B | ||
|
Community Health Systems
CYH
|
13.2 B | $ 2.96 | -0.34 % | $ 395 M | ||
|
Surgery Partners
SGRY
|
8.12 B | $ 12.18 | -0.65 % | $ 1.55 B | ||
|
Healthcare Services Group
HCSG
|
794 M | $ 18.35 | 2.8 % | $ 1.33 B | ||
|
Select Medical Holdings Corporation
SEM
|
5.85 B | $ 16.35 | 0.37 % | $ 2.01 B | ||
|
Sanara MedTech
SMTI
|
72.9 M | $ 17.24 | -0.06 % | $ 149 M | ||
|
Oak Street Health
OSH
|
2.05 B | - | 0.03 % | $ 9.53 B | ||
|
Brookdale Senior Living
BKD
|
5.95 B | $ 13.95 | 0.65 % | $ 3.28 B | ||
|
SunLink Health Systems
SSY
|
20.6 M | - | 17.98 % | $ 7.81 M | ||
|
COMPASS Pathways plc
CMPS
|
210 M | $ 5.79 | 3.02 % | $ 541 M | ||
|
Tenet Healthcare Corporation
THC
|
29.7 B | $ 188.17 | -1.1 % | $ 17 B | ||
|
Universal Health Services
UHS
|
15.5 B | $ 176.7 | -0.7 % | $ 11.2 B | ||
|
U.S. Physical Therapy
USPH
|
1.2 B | $ 73.74 | -0.89 % | $ 1.12 B | ||
|
Ontrak
OTRK
|
21.1 M | - | -11.98 % | $ 1.53 M | ||
|
Regional Health Properties
RHE
|
67.8 M | - | - | $ 5.2 M | ||
|
The Joint Corp.
JYNT
|
93.5 M | $ 8.6 | 0.23 % | $ 125 M | ||
|
Tivity Health
TVTY
|
599 M | - | 0.09 % | $ 1.6 B |