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Definitive Healthcare (DH) Total Assets (2020 - 2026)

Definitive Healthcare (DH) total assets from Dec 31, 2020 to Mar 31, 2026. The current Definitive Healthcare (DH) total assets is $515M. You can adjust inflation or export chart.

All data is split-adjusted. You can find the most accurate data from the reports on the SEC official website. We recommend verify information using official company filings before making investment decisions.

Total Assets

Total Assets

Definitive Healthcare (DH) Total Assets CAGR table

PeriodCAGR
1 Year TTM-38.34%
3 Years TTM-31.09%
5 Years TTM-4.45%
All Time TTM-20.76%

Annual Total Assets change of Definitive Healthcare (DH)

YearTotal AssetsChange
2025$735M
-32.49%
2024$1.09B
-40.34%
2023$1.83B
-13.98%
2022$2.12B
N/A
2022$2.12B
+0.06%
2022$2.12B
-0.13%
2022$2.12B
-0.90%
2022$2.14B
+1.29%
2021$2.12B
-0.08%
2021$2.12B
+13.16%
2021$1.87B
+8.10%
2021$1.73B
-0.48%
2021$1.74B
-0.34%
2020$1.75B
-0.09%
2020$1.75B
N/A

Comparison Definitive Healthcare (DH) total assets with competitors

Definitive Healthcare (DH) total assets is $514.74M.

TickerNameTotal AssetsUpside
VEEVVeeva Systems Inc - Class A$8.98B+1644.44%
BTSGBrightSpring Health Services Inc$6.21B+1107.08%
BTSGUBrightSpring Health Services Inc$6.21B+1107.08%
WAYWaystar Holding Corp$5.84B+1034.36%
RCMR1 RCM Inc$5.75B+1016.93%
CTEVMultiPlan Corp - Class A$4.84B+840.14%
HQYHealthequity Inc$3.38B+556.71%
PINCPremier Inc - Class A$3.05B+492.80%
TDOCTeladoc Health Inc$2.81B+445.37%
SYSo-Young International Inc$2.65B+414.75%
TEMTempus AI Inc - Class A$2.14B+314.79%
GDRXGoodRx Holdings Inc - Class A$2.02B+292.67%
OMCLOmnicell Inc$2.00B+289.34%
EVHEvolent Health Inc - Class A$1.88B+265.01%
MSPRMSP Recovery Inc - Class A$1.55B+201.54%
CERTCertara Inc$1.50B+191.48%
PRVAPrivia Health Group Inc$1.42B+175.46%
DOCSDoximity Inc - Class A$1.12B+118.30%
TXG10x Genomics Inc - Class A$1.02B+97.33%
HNGEHinge Health Inc - Class A$728.77M+41.58%
PHRPhreesia Inc$663.79M+28.96%
SDGRSchrodinger Inc$634.19M+23.21%
SLGCSomaLogic Inc - Class A$565.05M+9.77%
HSTMHealthstream Inc$527.44M+2.47%
HCATHealth Catalyst Inc$412.20M-19.92%
TBRGComputer Programs & Systems Inc$407.54M-20.83%
HTFLHeartflow Inc$344.02M-33.17%
AMWLAmerican Well Corporation - Class A$325.97M-36.67%
OMDAOmada Health Inc$302.80M-41.17%
WEAVWeave Communications Inc$204.28M-60.31%
SPOKSpok Holdings Inc$193.89M-62.33%
OPRXOptimizeRx Corp$167.26M-67.51%
SOPHSOPHiA Genetics SA$157.00M-69.50%
SLPSimulations Plus Inc$146.48M-71.54%
TALKTalkspace Inc$136.19M-73.54%
NRCNational Research Corp$134.56M-73.86%
CARLCarlsmed Inc$118.77M-76.93%
DRIODarioHealth Corp$103.28M-79.94%
CCLDCareCloud Inc$86.72M-83.15%
CCLDOCareCloud Inc$86.72M-83.15%
HCTIHealthcare Triangle Inc$80.16M-84.43%
LFMDLifeMD Inc$70.12M-86.38%
FORAForian Inc$38.81M-92.46%
ZCMDZhongchao Inc - Class A$24.15M-95.31%
ACONAclarion Inc$20.64M-95.99%
VSEEVSee Health Inc$19.02M-96.31%
MGRXMangoceuticals Inc$14.45M-97.19%
WORXSCWorx Corp$7.78M-98.49%
BFRGBullfrog AI Holdings Inc$5.54M-98.92%
MNDRMobile health Network Solutions - Class A$4.45M-99.14%
BEATHeartBeam Inc$3.93M-99.24%
ONMDOneMedNet Corp - Class A$1.51M-99.71%