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EVH Evolent Health

Watchlist
  • 27.050
  • -1.230-4.35%
Close Oct 1 16:00 ET
3.15BMarket Cap-28776P/E (TTM)

Evolent Health Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-28.96%101.25M
4.84%165.15M
2.46%192.83M
2.46%192.83M
17.72%184.54M
-26.18%142.53M
-25.05%157.52M
-29.32%188.2M
-29.32%188.2M
-37.92%156.76M
-Cash and cash equivalents
-28.96%101.25M
4.84%165.15M
2.46%192.83M
2.46%192.83M
17.72%184.54M
-26.18%142.53M
-25.05%157.52M
-29.32%188.2M
-29.32%188.2M
-37.92%156.76M
Receivables
8.24%373.73M
62.78%427.74M
75.41%446.75M
75.41%446.75M
110.11%394.23M
191.31%345.28M
46.57%262.76M
95.00%254.68M
95.00%254.68M
7.08%187.63M
-Accounts receivable
8.24%373.73M
62.78%427.74M
75.41%446.75M
75.41%446.75M
110.11%394.23M
191.31%345.28M
46.57%262.76M
95.00%254.68M
95.00%254.68M
7.08%187.63M
Prepaid assets
----
----
----
----
----
----
----
----
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-28.37%24.33M
Restricted cash
-57.76%20.05M
135.25%51.59M
-5.00%13.77M
-5.00%13.77M
-7.38%23.21M
-36.17%47.48M
-44.68%21.93M
-80.85%14.49M
-80.85%14.49M
51.78%25.06M
Other current assets
-37.36%25.94M
-26.63%24.77M
46.68%30.33M
46.68%30.33M
--36.82M
--41.42M
--33.76M
-59.76%20.68M
-59.76%20.68M
----
Total current assets
-9.66%520.97M
40.61%669.25M
43.01%683.67M
43.01%683.67M
62.22%638.8M
36.29%576.7M
2.72%475.97M
-8.76%478.05M
-8.76%478.05M
-17.65%393.77M
Non current assets
Net PPE
-23.24%85.2M
-34.72%86.83M
-34.13%90.18M
-34.13%90.18M
-33.05%97.31M
-22.65%111M
1.26%133.01M
4.05%136.9M
4.05%136.9M
10.36%145.34M
-Gross PPE
-9.64%250.84M
-15.97%245.07M
-13.44%248.75M
-13.44%248.75M
-5.22%272.06M
0.02%277.61M
13.15%291.66M
14.65%287.38M
14.65%287.38M
17.95%287.05M
-Accumulated depreciation
0.59%-165.64M
0.26%-158.23M
-5.38%-158.57M
-5.38%-158.57M
-23.32%-174.75M
-24.29%-166.61M
-25.50%-158.65M
-26.35%-150.48M
-26.35%-150.48M
-26.90%-141.71M
Goodwill and other intangible assets
-4.77%1.83B
-4.93%1.85B
60.31%1.87B
60.31%1.87B
61.41%1.9B
177.75%1.92B
178.29%1.94B
65.07%1.17B
65.07%1.17B
97.65%1.17B
-Goodwill
-0.09%1.12B
-0.13%1.12B
54.48%1.12B
54.48%1.12B
54.62%1.12B
162.20%1.12B
162.26%1.12B
69.55%722.77M
69.55%722.77M
107.10%722.79M
-Other intangible assets
-11.30%711.29M
-11.44%731.35M
69.84%752.01M
69.84%752.01M
72.28%777.67M
202.79%801.92M
203.39%825.86M
58.26%442.78M
58.26%442.78M
84.19%451.4M
Investments and advances
96.78%8.37M
99.34%8.2M
9.39%4.9M
9.39%4.9M
-6.80%4.87M
11.04%4.25M
11.77%4.11M
-18.01%4.48M
-18.01%4.48M
4.36%5.22M
Non current deferred assets
-8.39%13.42M
-24.40%12.47M
-30.59%12.12M
-30.59%12.12M
-45.45%13.41M
-35.53%14.65M
-25.15%16.5M
-46.48%17.46M
-46.48%17.46M
-2.42%24.59M
Non current prepaid assets
----
----
----
----
----
----
----
----
----
-53.62%3.06M
Other non current assets
-6.92%19.32M
18.55%19.04M
40.74%20.89M
40.74%20.89M
53.93%20.02M
59.83%20.76M
23.73%16.06M
-24.91%14.84M
-24.91%14.84M
2.00%13.01M
Total non current assets
-5.60%1.95B
-6.58%1.97B
49.09%2B
49.09%2B
48.73%2.03B
135.04%2.07B
141.33%2.11B
49.55%1.34B
49.55%1.34B
76.11%1.37B
Total assets
-6.49%2.48B
2.09%2.64B
47.49%2.68B
47.49%2.68B
51.75%2.67B
102.99%2.65B
93.37%2.59B
28.03%1.82B
28.03%1.82B
40.34%1.76B
Liabilities
Current liabilities
Payables
-49.28%39.03M
51.62%77.35M
-15.62%48.25M
-15.62%48.25M
-16.31%51.78M
-20.31%76.95M
-20.34%51.01M
-40.50%57.17M
-40.50%57.17M
63.72%61.86M
-accounts payable
-49.28%39.03M
51.62%77.35M
-15.62%48.25M
-15.62%48.25M
-16.31%51.78M
-20.31%76.95M
-20.34%51.01M
-40.50%57.17M
-40.50%57.17M
63.72%61.86M
Current accrued expenses
-49.13%84.79M
-3.02%165.1M
34.76%149.85M
34.76%149.85M
46.68%193.96M
119.76%166.68M
47.94%170.24M
3.69%111.2M
3.69%111.2M
137.10%132.24M
Current provisions
29.19%317.56M
86.94%368.64M
102.30%404.05M
102.30%404.05M
120.89%299.74M
95.15%245.81M
20.07%197.2M
16.60%199.73M
16.60%199.73M
-29.28%135.7M
Current debt and capital lease obligation
-1.37%6.13M
175.52%12.7M
36.73%9.74M
36.73%9.74M
97.89%13.96M
-2.68%6.22M
-28.50%4.61M
0.75%7.12M
0.75%7.12M
-78.90%7.05M
-Current debt
----
----
----
----
--991K
----
----
----
----
----
-Current capital lease obligation
-1.37%6.13M
175.52%12.7M
36.73%9.74M
36.73%9.74M
83.84%12.97M
-2.68%6.22M
-28.50%4.61M
0.75%7.12M
0.75%7.12M
4.80%7.05M
Current deferred liabilities
-34.42%4.56M
-13.20%6.14M
3.79%5.98M
3.79%5.98M
-23.41%5.76M
-20.22%6.95M
-46.80%7.07M
-51.79%5.76M
-51.79%5.76M
-45.42%7.52M
Current liabilities
-10.63%483.37M
44.00%659.02M
55.56%674.24M
55.56%674.24M
61.06%615.29M
57.77%540.9M
19.66%457.65M
-2.71%433.44M
-2.71%433.44M
4.04%382.02M
Non current liabilities
Long term debt and capital lease obligation
-8.70%629.57M
-8.18%630.37M
35.41%635.06M
35.41%635.06M
36.00%639.6M
101.80%689.59M
102.55%686.55M
71.54%469M
71.54%469M
75.25%470.28M
-Long term debt
-5.41%598.78M
-5.44%597.9M
44.57%597.05M
44.57%597.05M
45.46%599.95M
123.57%633.01M
123.74%632.28M
91.48%412.99M
91.48%412.99M
95.41%412.44M
-Long term capital lease obligation
-45.58%30.79M
-40.18%32.47M
-32.14%38.01M
-32.14%38.01M
-31.45%39.65M
-3.42%56.58M
-3.69%54.27M
-2.97%56.01M
-2.97%56.01M
0.97%57.84M
Non current deferred liabilities
-17.37%120.66M
-90.99%13.38M
139.17%121.24M
139.17%121.24M
199.17%139.05M
8,782.18%146.02M
9,638.71%148.42M
3,513.26%50.69M
3,513.26%50.69M
4,443.30%46.48M
Preferred securities outside stock equity
6.58%184.21M
--181.29M
--178.43M
--178.43M
--175.61M
--172.83M
----
--0
--0
----
Other non current liabilities
-19.71%3.43M
2,396.60%111.67M
-23.33%3.64M
-23.33%3.64M
-6.62%3.98M
-7.49%4.27M
-10.52%4.47M
-14.23%4.74M
-14.23%4.74M
-55.03%4.26M
Total non current liabilities
-7.39%937.87M
11.59%936.72M
78.93%938.37M
78.93%938.37M
83.91%958.23M
191.02%1.01B
142.98%839.44M
87.08%524.43M
87.08%524.43M
86.85%521.02M
Total liabilities
-8.52%1.42B
23.02%1.6B
68.35%1.61B
68.35%1.61B
74.25%1.57B
124.89%1.55B
78.19%1.3B
31.97%957.88M
31.97%957.88M
39.78%903.04M
Shareholders'equity
Share capital
2.83%1.16M
-99.32%1.16M
13.69%1.15M
13.69%1.15M
13.44%1.15M
23.47%1.13M
18,650.00%171.75M
11.78%1.02M
11.78%1.02M
15.79%1.01M
-common stock
2.83%1.16M
3.29%1.16M
13.69%1.15M
13.69%1.15M
13.44%1.15M
23.47%1.13M
22.82%1.13M
11.78%1.02M
11.78%1.02M
15.79%1.01M
-Preferred stock
----
----
----
----
----
----
--170.63M
----
----
----
Retained earnings
-11.27%-734.88M
-17.62%-736.47M
-18.65%-719.19M
-18.65%-719.19M
-15.30%-685.78M
-10.64%-660.46M
-5.71%-626.14M
3.29%-606.15M
3.29%-606.15M
4.24%-594.81M
Paid-in capital
1.99%1.81B
2.07%1.81B
21.61%1.81B
21.61%1.81B
22.49%1.8B
44.17%1.77B
44.50%1.77B
10.88%1.49B
10.88%1.49B
17.84%1.47B
Less: Treasury stock
0.00%21.12M
0.00%21.12M
0.00%21.12M
0.00%21.12M
0.00%21.12M
0.00%21.12M
0.00%21.12M
0.00%21.12M
0.00%21.12M
0.00%21.12M
Gains losses not affecting retained earnings
-21.63%-1.36M
-16.58%-1.31M
-6.71%-1.26M
-6.71%-1.26M
-21.17%-1.27M
-42.46%-1.11M
-127.13%-1.12M
-225.41%-1.18M
-225.41%-1.18M
-187.60%-1.04M
Total stockholders'equity
-3.60%1.05B
-18.91%1.05B
24.24%1.07B
24.24%1.07B
28.03%1.1B
78.31%1.09B
111.44%1.29B
23.90%859.42M
23.90%859.42M
40.93%856.14M
Total equity
-3.60%1.05B
-18.91%1.05B
24.24%1.07B
24.24%1.07B
28.03%1.1B
78.31%1.09B
111.44%1.29B
23.90%859.42M
23.90%859.42M
40.93%856.14M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -28.96%101.25M4.84%165.15M2.46%192.83M2.46%192.83M17.72%184.54M-26.18%142.53M-25.05%157.52M-29.32%188.2M-29.32%188.2M-37.92%156.76M
-Cash and cash equivalents -28.96%101.25M4.84%165.15M2.46%192.83M2.46%192.83M17.72%184.54M-26.18%142.53M-25.05%157.52M-29.32%188.2M-29.32%188.2M-37.92%156.76M
Receivables 8.24%373.73M62.78%427.74M75.41%446.75M75.41%446.75M110.11%394.23M191.31%345.28M46.57%262.76M95.00%254.68M95.00%254.68M7.08%187.63M
-Accounts receivable 8.24%373.73M62.78%427.74M75.41%446.75M75.41%446.75M110.11%394.23M191.31%345.28M46.57%262.76M95.00%254.68M95.00%254.68M7.08%187.63M
Prepaid assets -------------------------------------28.37%24.33M
Restricted cash -57.76%20.05M135.25%51.59M-5.00%13.77M-5.00%13.77M-7.38%23.21M-36.17%47.48M-44.68%21.93M-80.85%14.49M-80.85%14.49M51.78%25.06M
Other current assets -37.36%25.94M-26.63%24.77M46.68%30.33M46.68%30.33M--36.82M--41.42M--33.76M-59.76%20.68M-59.76%20.68M----
Total current assets -9.66%520.97M40.61%669.25M43.01%683.67M43.01%683.67M62.22%638.8M36.29%576.7M2.72%475.97M-8.76%478.05M-8.76%478.05M-17.65%393.77M
Non current assets
Net PPE -23.24%85.2M-34.72%86.83M-34.13%90.18M-34.13%90.18M-33.05%97.31M-22.65%111M1.26%133.01M4.05%136.9M4.05%136.9M10.36%145.34M
-Gross PPE -9.64%250.84M-15.97%245.07M-13.44%248.75M-13.44%248.75M-5.22%272.06M0.02%277.61M13.15%291.66M14.65%287.38M14.65%287.38M17.95%287.05M
-Accumulated depreciation 0.59%-165.64M0.26%-158.23M-5.38%-158.57M-5.38%-158.57M-23.32%-174.75M-24.29%-166.61M-25.50%-158.65M-26.35%-150.48M-26.35%-150.48M-26.90%-141.71M
Goodwill and other intangible assets -4.77%1.83B-4.93%1.85B60.31%1.87B60.31%1.87B61.41%1.9B177.75%1.92B178.29%1.94B65.07%1.17B65.07%1.17B97.65%1.17B
-Goodwill -0.09%1.12B-0.13%1.12B54.48%1.12B54.48%1.12B54.62%1.12B162.20%1.12B162.26%1.12B69.55%722.77M69.55%722.77M107.10%722.79M
-Other intangible assets -11.30%711.29M-11.44%731.35M69.84%752.01M69.84%752.01M72.28%777.67M202.79%801.92M203.39%825.86M58.26%442.78M58.26%442.78M84.19%451.4M
Investments and advances 96.78%8.37M99.34%8.2M9.39%4.9M9.39%4.9M-6.80%4.87M11.04%4.25M11.77%4.11M-18.01%4.48M-18.01%4.48M4.36%5.22M
Non current deferred assets -8.39%13.42M-24.40%12.47M-30.59%12.12M-30.59%12.12M-45.45%13.41M-35.53%14.65M-25.15%16.5M-46.48%17.46M-46.48%17.46M-2.42%24.59M
Non current prepaid assets -------------------------------------53.62%3.06M
Other non current assets -6.92%19.32M18.55%19.04M40.74%20.89M40.74%20.89M53.93%20.02M59.83%20.76M23.73%16.06M-24.91%14.84M-24.91%14.84M2.00%13.01M
Total non current assets -5.60%1.95B-6.58%1.97B49.09%2B49.09%2B48.73%2.03B135.04%2.07B141.33%2.11B49.55%1.34B49.55%1.34B76.11%1.37B
Total assets -6.49%2.48B2.09%2.64B47.49%2.68B47.49%2.68B51.75%2.67B102.99%2.65B93.37%2.59B28.03%1.82B28.03%1.82B40.34%1.76B
Liabilities
Current liabilities
Payables -49.28%39.03M51.62%77.35M-15.62%48.25M-15.62%48.25M-16.31%51.78M-20.31%76.95M-20.34%51.01M-40.50%57.17M-40.50%57.17M63.72%61.86M
-accounts payable -49.28%39.03M51.62%77.35M-15.62%48.25M-15.62%48.25M-16.31%51.78M-20.31%76.95M-20.34%51.01M-40.50%57.17M-40.50%57.17M63.72%61.86M
Current accrued expenses -49.13%84.79M-3.02%165.1M34.76%149.85M34.76%149.85M46.68%193.96M119.76%166.68M47.94%170.24M3.69%111.2M3.69%111.2M137.10%132.24M
Current provisions 29.19%317.56M86.94%368.64M102.30%404.05M102.30%404.05M120.89%299.74M95.15%245.81M20.07%197.2M16.60%199.73M16.60%199.73M-29.28%135.7M
Current debt and capital lease obligation -1.37%6.13M175.52%12.7M36.73%9.74M36.73%9.74M97.89%13.96M-2.68%6.22M-28.50%4.61M0.75%7.12M0.75%7.12M-78.90%7.05M
-Current debt ------------------991K--------------------
-Current capital lease obligation -1.37%6.13M175.52%12.7M36.73%9.74M36.73%9.74M83.84%12.97M-2.68%6.22M-28.50%4.61M0.75%7.12M0.75%7.12M4.80%7.05M
Current deferred liabilities -34.42%4.56M-13.20%6.14M3.79%5.98M3.79%5.98M-23.41%5.76M-20.22%6.95M-46.80%7.07M-51.79%5.76M-51.79%5.76M-45.42%7.52M
Current liabilities -10.63%483.37M44.00%659.02M55.56%674.24M55.56%674.24M61.06%615.29M57.77%540.9M19.66%457.65M-2.71%433.44M-2.71%433.44M4.04%382.02M
Non current liabilities
Long term debt and capital lease obligation -8.70%629.57M-8.18%630.37M35.41%635.06M35.41%635.06M36.00%639.6M101.80%689.59M102.55%686.55M71.54%469M71.54%469M75.25%470.28M
-Long term debt -5.41%598.78M-5.44%597.9M44.57%597.05M44.57%597.05M45.46%599.95M123.57%633.01M123.74%632.28M91.48%412.99M91.48%412.99M95.41%412.44M
-Long term capital lease obligation -45.58%30.79M-40.18%32.47M-32.14%38.01M-32.14%38.01M-31.45%39.65M-3.42%56.58M-3.69%54.27M-2.97%56.01M-2.97%56.01M0.97%57.84M
Non current deferred liabilities -17.37%120.66M-90.99%13.38M139.17%121.24M139.17%121.24M199.17%139.05M8,782.18%146.02M9,638.71%148.42M3,513.26%50.69M3,513.26%50.69M4,443.30%46.48M
Preferred securities outside stock equity 6.58%184.21M--181.29M--178.43M--178.43M--175.61M--172.83M------0--0----
Other non current liabilities -19.71%3.43M2,396.60%111.67M-23.33%3.64M-23.33%3.64M-6.62%3.98M-7.49%4.27M-10.52%4.47M-14.23%4.74M-14.23%4.74M-55.03%4.26M
Total non current liabilities -7.39%937.87M11.59%936.72M78.93%938.37M78.93%938.37M83.91%958.23M191.02%1.01B142.98%839.44M87.08%524.43M87.08%524.43M86.85%521.02M
Total liabilities -8.52%1.42B23.02%1.6B68.35%1.61B68.35%1.61B74.25%1.57B124.89%1.55B78.19%1.3B31.97%957.88M31.97%957.88M39.78%903.04M
Shareholders'equity
Share capital 2.83%1.16M-99.32%1.16M13.69%1.15M13.69%1.15M13.44%1.15M23.47%1.13M18,650.00%171.75M11.78%1.02M11.78%1.02M15.79%1.01M
-common stock 2.83%1.16M3.29%1.16M13.69%1.15M13.69%1.15M13.44%1.15M23.47%1.13M22.82%1.13M11.78%1.02M11.78%1.02M15.79%1.01M
-Preferred stock --------------------------170.63M------------
Retained earnings -11.27%-734.88M-17.62%-736.47M-18.65%-719.19M-18.65%-719.19M-15.30%-685.78M-10.64%-660.46M-5.71%-626.14M3.29%-606.15M3.29%-606.15M4.24%-594.81M
Paid-in capital 1.99%1.81B2.07%1.81B21.61%1.81B21.61%1.81B22.49%1.8B44.17%1.77B44.50%1.77B10.88%1.49B10.88%1.49B17.84%1.47B
Less: Treasury stock 0.00%21.12M0.00%21.12M0.00%21.12M0.00%21.12M0.00%21.12M0.00%21.12M0.00%21.12M0.00%21.12M0.00%21.12M0.00%21.12M
Gains losses not affecting retained earnings -21.63%-1.36M-16.58%-1.31M-6.71%-1.26M-6.71%-1.26M-21.17%-1.27M-42.46%-1.11M-127.13%-1.12M-225.41%-1.18M-225.41%-1.18M-187.60%-1.04M
Total stockholders'equity -3.60%1.05B-18.91%1.05B24.24%1.07B24.24%1.07B28.03%1.1B78.31%1.09B111.44%1.29B23.90%859.42M23.90%859.42M40.93%856.14M
Total equity -3.60%1.05B-18.91%1.05B24.24%1.07B24.24%1.07B28.03%1.1B78.31%1.09B111.44%1.29B23.90%859.42M23.90%859.42M40.93%856.14M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

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