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Annual · values2025202420232022
Operating Cash Flow404.22 M USD367.34 M USD63.70 M USD92.61 M USD
Depreciation & Amortization
Stock-Based Compensation54.07 M USD115.54 M USD0 USD0 USD
Capital Expenditures
Cash Flow from Investing-264.02 M USD-442.68 M USD-172.79 M USD-75.32 M USD
Cash Flow from Financing-68.99 M USD117.48 M USD129.59 M USD12.35 M USD
Dividends Paid0 USD33.72 M USD80.39 M USD60.28 M USD
Stock Buybacks
Free Cash Flow

PACS Group Inc. is a holding company operating a national platform of post-acute care and senior living facilities across 17 states. The company provides skilled nursing care, assisted living, independent living, and related healthcare services through a portfolio of over 300 independently operated facilities. PACS serves patients and residents recovering from acute medical conditions, illnesses, or serious procedures who require additional care following hospital discharge. Beyond direct facility operations, the company delivers comprehensive support services to its affiliated providers, including administrative services, technology solutions, training programs, and compliance support. Founded in 2013 and headquartered in Salt Lake City, Utah, PACS operates an entrepreneurial model that balances centralized resources with local operational autonomy. The platform supports tens of thousands of daily patients and residents through a network of dedicated healthcare professionals, positioning itself as a significant player in the post-acute care sector.