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ModivCare (MODV) Total Assets (2021 - 2025)

ModivCare (MODV) total assets from Mar 31, 2021 to Jun 30, 2025. The current ModivCare (MODV) total assets is $1.41B. You can adjust inflation or export chart.

Total Assets

Total Assets

ModivCare (MODV) Total Assets CAGR table

PeriodCAGR
1 Year TTM-8.32%
3 Years TTM-8.47%
All Time TTM-6.14%

Annual Total Assets change of ModivCare (MODV)

YearTotal AssetsChange
2024$1.65B
-6.39%
2023$1.77B
-9.10%
2022$1.94B
-4.10%
2021$2.03B
N/A

Comparison ModivCare (MODV) total assets with competitors

ModivCare (MODV) total assets is $1.41B.

TickerNameTotal AssetsUpside
HCAHCA Healthcare Inc$61.45B+4265.74%
THCTenet Healthcare Corp$31.20B+2116.83%
FMSFresenius Medical Care AG & Co. KGaA$26.93B+1813.53%
DVADaVita Inc$17.50B+1143.25%
UHSUniversal Health Services Inc - Class B$15.68B+1014.07%
CYHCommunity Health Systems Inc$13.18B+836.38%
SGRYSurgery Partners Inc$8.04B+471.35%
AUNAAuna S.A. - Cls A$7.69B+446.18%
EHCEncompass Health Corp$7.31B+419.57%
CCMConcord Medical Services$6.55B+365.16%
SEMSELECT MEDICAL HOLDINGS CORP$6.04B+329.26%
BKDBrookdale Senior Living Inc$5.90B+319.01%
PACSPACS Group Inc$5.66B+302.37%
ENSGEnsign Group Inc$5.61B+298.69%
ACHCAcadia Healthcare Company Inc$5.55B+294.05%
ARDTArdent Health Partners Inc$5.25B+273.19%
OPCHOption Care Health Inc$3.38B+140.14%
CONConcentra Group Holdings Parent Inc$2.89B+105.30%
SNDASonida Senior Living Inc$2.63B+86.65%
AMNAMN Healthcare Services Inc$2.60B+85.03%
ASTHApollo Medical Holdings Inc$2.36B+67.58%
LFSTLifeStance Health Group Inc$2.15B+52.46%
MDPediatrix Medical Group Inc$2.07B+47.09%
AVAHAveanna Healthcare Holdings Inc$2.02B+43.66%
CHEChemed Corp$1.54B+9.11%
NHCNational Healthcare Corp$1.52B+8.28%
AGLAgilon Health Inc$1.50B+6.92%
ADUSAddus HomeCare Corporation$1.44B+2.00%
USPHU.S. Physical Therapy Inc$1.24B-11.76%
EHABEnhabit, Inc.$1.18B-16.24%
NUTXNutex Health Inc$957.32M-31.99%
PNTGPennant Group Inc$956.48M-32.05%
WWWW International Inc$881.07M-37.40%
HCSGHealthcare Services Group Inc$814.85M-42.11%
PIIIP3 Health Partners Inc - Class A$674.16M-52.10%
INNVInnovAge Holding Corp$547.39M-61.11%
CMPSCompass Pathways Plc$531.74M-62.22%
CCRNCross Country Healthcares Inc$451.07M-67.95%
GRDNGuardian Pharmacy Services Inc$426.94M-69.67%
SRTAStrata Critical Medical Inc Cl A Com$327.62M-76.72%
DCGODocGo Inc$209.23M-85.14%
AIRSAirsculpt Technologies Inc$192.00M-86.36%
PARKPark Dental Partners Inc$179.86M-87.22%
TOIOncology Institute Inc (The)$168.23M-88.05%
BTMDbiote Corp - Class A$89.03M-93.67%
CCELCryo-Cell International Inc$60.88M-95.67%
JYNTJoint Corp$57.92M-95.88%
AMSAmerican Shared Hospital Services$54.73M-96.11%
NIVFNewGenIvf Group Ltd - Class A$32.72M-97.68%
BMGLBasel Medical Group Ltd$20.12M-98.57%
MCTACharming Medical Ltd - Class A$5.36M-99.62%
SYRASyra Health Corp - Class A$3.94M-99.72%