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Markets
/
Stocks
/
nasdaq-lfst
/
Lifestance Health Group Inc
LFST
3.867
USD
+0.077
+2.02%
Market hours (ET)
Quotes delayed by 15 min
USD
0.000
Pre-market (ET)
1.50B
Market Cap
Loss
P/E TTM
Lifestance Health Group Inc
3.867
+0.077
+2.02%
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
Total equity
Cash, cash equivalents and short-term investments
171.65%
134.34M
96.10%
154.57M
140.85%
102.61M
9.25%
86.97M
-27.59%
49.45M
-27.43%
78.82M
-52.84%
42.60M
-17.67%
79.61M
-40.09%
68.29M
-26.62%
108.62M
-57.41%
90.34M
-64.99%
96.69M
188.63%
113.99M
--
148.03M
--
212.12M
--
276.19M
--
39.49M
- Cash and cash equivalents
171.65%
134.34M
96.10%
154.57M
140.85%
102.61M
9.25%
86.97M
-27.59%
49.45M
-27.43%
78.82M
-52.84%
42.60M
-17.67%
79.61M
-40.09%
68.29M
-26.62%
108.62M
-57.41%
90.34M
-64.99%
96.69M
188.63%
113.99M
--
148.03M
--
212.12M
--
276.19M
--
39.49M
Receivables
-20.22%
140.37M
5.10%
131.80M
5.64%
158.16M
37.30%
167.22M
48.62%
175.94M
24.33%
125.41M
32.16%
149.72M
22.11%
121.80M
24.62%
118.38M
32.58%
100.87M
61.70%
113.28M
66.04%
99.74M
98.86%
94.99M
--
76.08M
--
70.06M
--
60.07M
--
47.77M
-Accounts and notes receivable
-20.22%
140.37M
5.10%
131.80M
5.64%
158.16M
37.30%
167.22M
48.62%
175.94M
24.33%
125.41M
32.16%
149.72M
22.11%
121.80M
24.62%
118.38M
32.58%
100.87M
61.70%
113.28M
66.04%
99.74M
98.86%
94.99M
--
76.08M
--
70.06M
--
60.07M
--
47.77M
Prepaid expenses
59.79%
29.93M
21.56%
26.14M
-63.51%
26.24M
-35.42%
23.56M
-27.50%
18.73M
-9.40%
21.50M
46.89%
71.93M
-23.78%
36.48M
-52.44%
25.83M
-44.04%
23.73M
6.12%
48.97M
72.13%
47.86M
143.39%
54.32M
--
42.41M
--
46.14M
--
27.80M
--
22.32M
Other current assets
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Total current assets
24.79%
304.63M
38.44%
312.51M
8.62%
287.02M
16.76%
277.75M
14.87%
244.12M
-3.21%
225.73M
4.62%
264.25M
-2.62%
237.88M
-19.29%
212.51M
-12.49%
233.22M
-23.07%
252.59M
-32.90%
244.29M
140.28%
263.30M
--
266.52M
--
328.33M
--
364.06M
--
109.58M
Non-current assets
Net Fixed Assets
-10.48%
311.79M
-12.54%
313.92M
-12.39%
324.81M
-12.58%
336.15M
-10.63%
348.27M
-8.81%
358.93M
91.71%
370.75M
101.65%
384.52M
127.99%
389.70M
158.55%
393.62M
68.10%
193.39M
107.73%
190.69M
141.42%
170.93M
--
152.24M
--
115.05M
--
91.80M
--
70.80M
-Fixed Assets
-3.57%
409.32M
-4.99%
406.28M
-5.61%
410.42M
-5.67%
417.75M
-3.63%
424.47M
-2.04%
427.61M
86.76%
434.82M
98.87%
442.87M
124.51%
440.44M
154.12%
436.50M
80.31%
232.82M
118.52%
222.70M
152.02%
196.18M
--
171.77M
--
129.13M
--
101.91M
--
77.84M
-Accumulated depreciation
28.01%
97.54M
34.48%
92.36M
33.62%
85.61M
39.85%
81.60M
50.18%
76.19M
60.17%
68.68M
62.50%
64.07M
82.32%
58.35M
100.90%
50.73M
119.62%
42.88M
180.10%
39.43M
216.52%
32.00M
258.66%
25.25M
--
19.53M
--
14.08M
--
10.11M
--
7.04M
Goodwill and other intangible assets
-1.41%
1.48B
-2.00%
1.48B
-2.51%
1.49B
-2.85%
1.49B
-2.95%
1.50B
-1.42%
1.51B
0.31%
1.53B
0.75%
1.54B
1.78%
1.55B
2.08%
1.54B
3.70%
1.52B
4.85%
1.53B
6.85%
1.52B
--
1.50B
--
1.47B
--
1.46B
--
1.42B
Other non-current assets
-37.15%
7.57M
-29.11%
7.72M
-43.07%
7.41M
7.33%
12.04M
37.38%
12.05M
0.93%
10.89M
14.08%
13.02M
42.25%
11.22M
138.43%
8.77M
213.08%
10.79M
236.95%
11.42M
139.03%
7.89M
25.73%
3.68M
--
3.45M
--
3.39M
--
3.30M
--
2.93M
Total non-current assets
-3.34%
1.80B
-4.16%
1.81B
-4.70%
1.82B
-4.73%
1.84B
-4.31%
1.86B
-2.91%
1.88B
10.64%
1.91B
12.10%
1.93B
14.81%
1.95B
16.87%
1.94B
8.87%
1.73B
11.22%
1.72B
13.25%
1.70B
--
1.66B
--
1.59B
--
1.55B
--
1.50B
Total assets
-0.08%
2.10B
0.39%
2.12B
-3.09%
2.11B
-2.38%
2.12B
-2.42%
2.11B
-2.94%
2.11B
9.87%
2.18B
10.27%
2.17B
10.22%
2.16B
12.80%
2.17B
3.39%
1.98B
2.83%
1.97B
21.92%
1.96B
--
1.93B
--
1.91B
--
1.91B
--
1.61B
Liabilities
Current liabilities
-Other payables
-91.51%
439.00K
-93.93%
542.00K
-66.77%
3.20M
-60.02%
4.51M
-62.40%
5.17M
-45.76%
8.93M
-14.81%
9.63M
16.56%
11.28M
-2.68%
13.74M
11.53%
16.47M
-24.02%
11.30M
-18.13%
9.68M
-11.63%
14.12M
--
14.77M
--
14.87M
--
11.82M
--
15.98M
Accrued expenses
3.97%
143.17M
19.57%
164.40M
-11.16%
155.15M
39.46%
161.07M
19.02%
137.70M
29.61%
137.49M
92.18%
174.65M
32.11%
115.49M
21.77%
115.69M
22.62%
106.08M
5.75%
90.88M
-1.95%
87.42M
33.78%
95.01M
--
86.51M
--
85.93M
--
89.16M
--
71.02M
Short-term debt and lease liabilities
209.85%
9.06M
147.86%
7.25M
12.72%
2.92M
12.72%
2.92M
24.73%
2.92M
24.73%
2.92M
20.98%
2.59M
73.00%
2.59M
77.25%
2.34M
77.25%
2.34M
62.13%
2.15M
-7.35%
1.50M
-65.52%
1.32M
--
1.32M
--
1.32M
--
1.62M
--
3.84M
Other current liabilities
-91.51%
439.00K
-93.93%
542.00K
-66.77%
3.20M
-60.02%
4.51M
-62.40%
5.17M
-45.76%
8.93M
-14.81%
9.63M
16.56%
11.28M
-2.68%
13.74M
11.53%
16.47M
-24.02%
11.30M
-18.13%
9.68M
-11.63%
14.12M
--
14.77M
--
14.87M
--
11.82M
--
15.98M
Total current liabilities
-0.04%
207.38M
12.82%
228.89M
-9.70%
217.51M
25.88%
227.66M
14.53%
207.46M
15.27%
202.87M
114.55%
240.87M
62.14%
180.85M
44.22%
181.14M
50.75%
176.00M
6.72%
112.27M
-0.90%
111.54M
29.81%
125.60M
--
116.75M
--
105.20M
--
112.56M
--
96.76M
Non-current liabilities
Long-term debt and lease liabilities
-6.05%
425.71M
-7.18%
428.49M
-0.49%
437.73M
-2.00%
445.21M
4.73%
453.13M
5.48%
461.64M
107.45%
439.89M
123.39%
454.30M
143.92%
432.66M
178.03%
437.67M
34.68%
212.04M
29.48%
203.36M
-54.20%
177.38M
--
157.42M
--
157.45M
--
157.07M
--
387.30M
-Long-term debt
-1.27%
276.32M
-0.18%
279.79M
12.35%
279.06M
12.36%
279.46M
24.52%
279.87M
24.53%
280.29M
17.13%
248.37M
22.30%
248.72M
26.71%
224.76M
42.98%
225.08M
34.68%
212.04M
29.48%
203.36M
-54.20%
177.38M
--
157.42M
--
157.45M
--
157.07M
--
387.30M
-Long-term lease liabilities
-13.77%
149.39M
-18.01%
148.70M
-17.15%
158.68M
-19.38%
165.75M
-16.67%
173.25M
-14.69%
181.36M
--
191.51M
--
205.59M
--
207.90M
--
212.59M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Other non-current liabilities
-66.58%
254.00K
-67.54%
309.00K
-55.44%
381.00K
-77.69%
571.00K
-63.09%
760.00K
-65.79%
952.00K
-98.75%
855.00K
-96.25%
2.56M
-96.49%
2.06M
-94.81%
2.78M
163.13%
68.44M
259.83%
68.19M
284.50%
58.61M
--
53.63M
--
26.01M
--
18.95M
--
15.24M
Total non-current liabilities
-6.31%
440.19M
-7.33%
443.13M
-5.39%
453.33M
-6.77%
461.67M
-0.52%
469.86M
-0.21%
478.17M
42.65%
479.14M
51.97%
495.19M
62.71%
472.29M
80.59%
479.15M
26.90%
335.89M
26.67%
325.84M
-40.00%
290.27M
--
265.33M
--
264.68M
--
257.24M
--
483.77M
Total liabilities
-4.39%
647.57M
-1.33%
672.01M
-6.83%
670.85M
1.96%
689.32M
3.66%
677.32M
3.95%
681.04M
60.66%
720.02M
54.57%
676.04M
57.13%
653.43M
71.47%
655.15M
21.16%
448.16M
18.28%
437.38M
-28.36%
415.87M
--
382.08M
--
369.89M
--
369.80M
--
580.52M
Shareholders' equity
Common equity
2.99%
2.27B
3.48%
2.26B
3.74%
2.25B
4.08%
2.23B
4.55%
2.21B
4.76%
2.19B
5.46%
2.17B
6.22%
2.15B
7.65%
2.11B
9.78%
2.09B
14.52%
2.05B
20.69%
2.02B
80.94%
1.96B
--
1.90B
--
1.79B
--
1.67B
--
1.08B
Retained earnings
-4.56%
-817.58M
-7.55%
-818.29M
-13.31%
-811.18M
-23.07%
-805.22M
-28.43%
-781.94M
-32.87%
-760.85M
-36.11%
-715.89M
-34.04%
-654.30M
-45.17%
-608.83M
-60.37%
-572.64M
-111.20%
-525.98M
-279.60%
-488.13M
-616.23%
-419.40M
--
-357.07M
--
-249.04M
--
-128.59M
--
-58.56M
Capital reserves
2.99%
2.27B
3.49%
2.26B
3.74%
2.24B
4.09%
2.23B
4.56%
2.20B
4.77%
2.18B
5.47%
2.16B
6.23%
2.14B
7.66%
2.11B
9.80%
2.08B
14.54%
2.05B
20.74%
2.02B
95095.62%
1.96B
--
1.90B
--
1.79B
--
1.67B
--
2.06M
Gains losses not affecting retained earnings
-78.79%
612.00K
-59.66%
929.00K
-82.40%
771.00K
-36.33%
2.64M
44.01%
2.89M
-29.66%
2.30M
37.55%
4.38M
--
4.15M
--
2.00M
--
3.27M
--
3.19M
--
--
--
--
--
--
--
--
--
--
--
--
Total equity
1.97%
1.46B
1.21%
1.45B
-1.23%
1.44B
-4.34%
1.43B
-5.06%
1.43B
-5.91%
1.43B
-4.99%
1.46B
-2.38%
1.49B
-2.42%
1.51B
-1.70%
1.52B
-0.87%
1.53B
-0.86%
1.53B
50.38%
1.54B
--
1.55B
--
1.54B
--
1.54B
--
1.03B
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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