DaVita Inc (DVA)

Industry Medical Care Facilities

This stock can be held in an Investment ISA and an Investment Account
Sell

$143.60

Buy

$146.00

arrow-up$1.81 (+1.26%)

DaVita Inc is engaged in operating kidney dialysis centers and providing related lab services in dialysis centers and in contracted hospitals across USA. It also operates other ancillary services and strategic initiatives.
Prices updated at 17 May 2025, 00:51 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
10,877m11,405m11,388m11,551m11,619m11,610m12,140m12,816m
3,237m3,209m3,474m3,562m3,646m3,400m3,820m4,217m
1,620m1,490m1,756m1,684m1,770m1,313m1,601m1,955m
14.8913.0715.4214.5815.2411.3113.1915.25
664m159m811m774m978m560m692m936m
2,608m2,127m2,254m2,253m2,484m2,056m2,321m2,725m
Sales, General and administrative1,064m1,135m1,103m1,248m1,195m1,355m1,474m1,538m
Interest expenses431m487m444m304m285m357m399m470m
Provision for income taxes324m258m280m314m307m198m220m280m
Operating expenses1,617m1,719m1,718m1,878m1,876m2,088m2,219m2,262m
Income before taxes1,400m1,048m1,195m1,318m1,518m966m1,177m1,530m
Net income available to common shareholders664m159m811m774m978m560m692m936m
3.520.935.296.469.36.037.6211.02
Net interest income-431m-487m-444m-304m-285m-357m-399m-470m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)3.470.925.276.318.95.857.4210.73
Free cash flow per share5.93384.24115.8511.921910.725211.626814.140915.8177
Book value/share26.222322.986418.424414.324711.81475.891713.50094.8018
Debt equity ratio1.9526572.2068255.0160697.70178915.09165115.7170810.03574894.000743

Balance sheet

20172018201920202021202220232024
Current assets8,744m8,424m3,690m3,149m3,168m3,155m3,138m3,746m
Current liabilities3,041m4,891m2,372m2,476m2,399m2,620m2,642m2,973m
Total capital13,848m11,876m10,111m9,301m9,485m9,405m9,324m9,297m
Total debt9,336m10,102m11,176m11,194m11,975m11,822m11,116m12,067m
Total equity4,690m3,703m2,133m1,384m756m712m1,056m121m
Total non current liabilities--------
Loans9,158m8,173m7,978m7,917m8,729m8,693m8,268m9,176m
Total assets18,948m19,110m17,311m16,989m17,121m16,928m16,894m17,285m
Total liabilities--------
Cash and cash equivalents508m323m1,102m325m462m244m380m795m
Common stock182m166m126m110m97m90m89m81m

Cash flow

20172018201920202021202220232024
Cash at beginning of period675m519m415m1,209m502m555m339m465m
Cash dividends paid--------
1,002m785m1,306m1,304m1,289m961m1,491m1,467m
Investments (gains) losses-1,367m-1,006m2,995m-825m-785m-630m-772m-771m
508m415m1,209m502m555m339m465m880m
Net income--------
1,907m1,772m2,072m1,979m1,931m1,565m2,059m2,022m
-905m-987m-767m-675m-641m-603m-568m-555m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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