Level Chart

Basic Info

Hca Healthcare Inc (HCA) - National Group Adjusted EBITDA (Post-FY2022) is at a current level of 1.352B, up from 1.348B last quarter and up from 1.19B one year ago. This is a change of 0.30% from last quarter and 13.61% from one year ago.

Region United States
Source Fiscal.ai

Data provided via Fiscal.ai

Stats

Last Value 1.352B
Latest Period Dec 2025
Last Updated Mar 23 2026, 14:10 EDT
Next Release Apr 15 2026, 08:30 EDT (E)
Average Growth Rate 14.63%
Value from Last Quarter 1.348B
Change from Last Quarter 0.30%
Value from 1 Year Ago 1.19B
Change from 1 Year Ago 13.61%
Frequency Quarterly
Unit USD
Adjustment N/A
Download Source File

Historical Data

View and export this data back to 2019. Upgrade now.
Date Value
December 31, 2025 1.352B
September 30, 2025 1.348B
June 30, 2025 1.271B
March 31, 2025 1.132B
December 31, 2024 1.19B
September 30, 2024 1.068B
June 30, 2024 1.087B
March 31, 2024 1.047B
December 31, 2023 1.174B
September 30, 2023 799.00M
June 30, 2023 878.00M
March 31, 2023 1.149B
December 31, 2022 1.014B
Date Value
September 30, 2022 780.00M
June 30, 2022 867.00M
March 31, 2022 955.00M
December 31, 2021 0.00
September 30, 2021 0.00
June 30, 2021 0.00
March 31, 2021 0.00
December 31, 2020 0.00
September 30, 2020 0.00
June 30, 2020 0.00
March 31, 2020 0.00
December 31, 2019 0.00

Basic Info

Hca Healthcare Inc (HCA) - National Group Adjusted EBITDA (Post-FY2022) is at a current level of 1.352B, up from 1.348B last quarter and up from 1.19B one year ago. This is a change of 0.30% from last quarter and 13.61% from one year ago.

Region United States
Source Fiscal.ai

Data provided via Fiscal.ai

Stats

Last Value 1.352B
Latest Period Dec 2025
Last Updated Mar 23 2026, 14:10 EDT
Next Release Apr 15 2026, 08:30 EDT (E)
Average Growth Rate 14.63%
Value from Last Quarter 1.348B
Change from Last Quarter 0.30%
Value from 1 Year Ago 1.19B
Change from 1 Year Ago 13.61%
Frequency Quarterly
Unit USD
Adjustment N/A
Download Source File

Related Securities

Symbol Name Change %
HCA HCA Healthcare, Inc. 1.17%