Selectis Health, Inc.

OTC:GBCS

4.22 (USD) • At close November 17, 2023
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988
Operating Activities:
Net Income -2.424-3.971-2.396-2.2412.962-0.868-2.007-3.002-1.292-3.381.447-1.807-0.819-1.379-1.111-0.0110.1240.1190.1170.9420.2520.49-1.791-0.985-0.856-0.407-2.289-1.165-2.011-2.04-2.770.040.05-0.05-0.14-0.080.03
Depreciation & Amortization 1.571.6661.7931.7331.581.4881.4131.241.5991.3530.6530.7180.5920.4330.5590.6130.5320.480.6980.6290.3180.2770.2580.7180.8640.8521.0540.870.8260.620.3700.050.050.070.050.05
Deferred Income Tax 000-0.247-1.435001.58-2.136-0.336-2.595-0.07702.510.895-0.031000000000000000000000
Stock Based Compensation 00.00100.019-0.0090.280.4020.4880.5370.1950.0470.0830000.0980.04500000000000000000000
Change In Working Capital -0.004-0.24-1.3420.309-0.487-0.433-0.1310.0080.8750.192-0.5170.1810.0880.078-0.0960.034-0.0790.159-0.1720.0320.0950.264-0.1550.4670.170.4220.718-0.0620.499-6.15-1.150.030.050.770.58-1.570.01
Accounts Receivables -1.568-0.662-0.762-2.473-0.528-0.436-0.261-0.33-0.109000.0040.1320.041-0.088-0.01700000000.1050.1050000-0.130.120.02-0.070.120.14-0.010
Inventory 00000.528-0.247000000.016-0.001-0-0.003-0.0030.0010-0.0010.0030.0070.0020.005-0.049-0.0270.0250.0020000.370.06-0.010.14-0.09-0.040
Accounts Payables 0.5292.401-1.6492.111-0.0960.2470.1260.0860.7650.128-0.4740-0.041-0.041-0.0910.0170.0170000000.1160.1160000-0.16-0.620.0600.2-0.12-0.010
Other Working Capital 1.035-1.9792.4110.67-0.3910.003-0.131-0.0790.8750.192-0.0430.165-0.0020.0790.0870.037-0.080.158-0.1710.0290.0880.262-0.160.2950.1970.3970.71600-5.86-1.02-0.110.130.310.65-1.510.01
Other Non Cash Items -0.9663.0811.640.1570.1220.4020.43-0.096-0.0891.9450.3380.9410.117-1.3730.0240.1180.0090.1030.002-0.8410-0.4941.60.538-0.24-0.2251.0690.6371.4087.281.870.11-0.06-0.62-0.331.540.02
Operating Cash Flow -1.8240.537-0.305-0.2712.7340.8690.1080.218-0.507-0.031-0.6270.04-0.0220.3010.3680.7680.5840.8610.6450.7620.6650.537-0.0880.738-0.0620.6420.5510.2790.722-0.29-1.680.180.090.150.18-0.060.11
Investing Activities:
Investments In Property Plant And Equipment -0.036-0.03-0.222-0.52-0.986-1.669-0.763-0.86-0.314-0.598-8.426-0.019-0.082-0.041-0.141-0.207-0.047-0.082-0.024-0.282-0.073-0.144-0.021-0.058-0.102-0.46-0.573-0.543-0.166-0.55-0.81-0.020-0.01-0.03-0.09-0.04
Acquisitions Net 000-0.06-0.587-0.734002.113-0.1-0.5-3.88100-00-1.672000000000-0.4070000000000
Purchases Of Investments 00000-0.012-0.106-0.299-0.1890.456000-0.120-0.004-0.01-0.05-0.01000-0.5-1.001-2.733-0.30700000000000
Sales Maturities Of Investments 000000.1510.27400.5730.731000000000000.040.931.6812.4620.0610.0480.0540.0700000000
Other Investing Activites 2.4850-0.2220.06-0.986-0.144-0.106-0.0842.5360.951.7780.001-0.5-0.582000.1-0.0930.006000-0.022-0.3020.340.4-0.028-0.545-0.170.01-1.210.05000.140-0.01
Investing Cash Flow 2.449-0.03-0.222-0.52-1.573-2.408-0.595-1.2432.2230.352-7.148-0.018-0.582-0.161-0.141-0.211-1.63-0.225-0.027-0.282-0.073-0.1040.3870.32-0.033-0.306-0.96-1.035-0.265-0.54-2.020.030-0.010.11-0.09-0.05
Financing Activities:
Debt Repayment 0-0.696-1.8651.0152.0131.2631.0290.885-1.14-0.3715.614-0.219-0.2190.622-0.088-0.017-0.286-0.409-0.26-0.468-0.259-0.419-0.147-0.421-0.2180.5420.1670.2220.917-0.2680000000
Common Stock Issued 000.230.714000000.0153.1910000.32200.80.80.0070.1150.055000000.1880.1880.1410.1410000000
Common Stock Repurchased 00-0.230-0.1020-0.13300000-0.057-0.057-0.057-0.0570000-0.0470000000003.4500.40-0.1400
Dividends Paid -0.023-0.007-0.03-0.03-0.03-0.03-0.03-0.03-0.03-0.463-0.458-0.017-0.057-0.0570-0.05700000000-0.15000000000000
Other Financing Activities -1.5150.0840.046-0.094-0.057-0.009-0.044-0.017-0.0390.05-1.219-0.04000-0.721-0.057-0.641-0.099000.2720-0.457-0.51-0.5180.0570.508-1.053-0.0083.83-0.080.26-0.63-0.520.27-0.04
Financing Cash Flow -1.537-0.619-1.8491.6051.8241.2240.8220.838-1.209-0.7847.128-0.2750.566-0.144-0.794-0.3420.387-0.254-0.353-0.252-0.419-0.147-0.421-0.878-0.236-0.5540.2240.917-0.1350.783.83-0.080.26-0.63-0.520.27-0.04
Other Information:
Effect Of Forex Changes On Cash 000.298000000000000000000000000000-0.0100-0.01000
Net Change In Cash -0.913-0.112-2.3770.8152.986-0.3150.335-0.4240.507-0.463-0.647-0.254-0.039-0.005-0.5670.215-0.6580.3820.2650.2280.1730.286-0.1220.18-0.331-0.218-0.1850.1610.322-0.050.120.130.35-0.5-0.230.120.02
Cash At End Of Period 1.3922.3052.4174.7933.9780.9931.3070.1550.5780.0710.5340.2390.4920.5310.8111.3781.1631.5641.1820.9170.6890.5170.2310.3540.1740.5050.8631.0480.8870.570.620.50.370.010.520.740.01