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Oscar Health Inc

OSCR

13.580USD

-0.470-3.35%
Close 08/01, 16:00ETQuotes delayed by 15 min
3.44BMarket Cap
27.91P/E TTM
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
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
38.49%878.54M
16.83%346.82M
56.48%-500.14M
200.35%497.15M
52.96%634.36M
96.09%296.87M
-109.58%-1.15B
-22.82%165.52M
-26.32%414.71M
339.09%151.39M
6.94%-548.36M
287.57%214.47M
77.17%562.85M
-61.25%34.48M
-169.16%-589.25M
-77.53%55.34M
198.72%317.69M
--88.98M
---218.92M
--246.32M
--106.35M
Net income from continuing operations
55.23%275.51M
-2.30%-153.28M
17.22%-54.39M
465.07%56.31M
547.87%177.48M
33.86%-149.84M
66.05%-65.70M
86.24%-15.43M
48.75%-39.63M
-14.28%-226.56M
9.02%-193.55M
-53.45%-112.13M
11.50%-77.32M
-4.41%-198.24M
-168.85%-212.75M
-78.46%-73.07M
9.81%-87.37M
---189.87M
---79.13M
---40.94M
---96.88M
Operating gains losses
-13.84%6.73M
19.26%9.23M
-18.40%7.50M
-13.84%7.60M
58.15%7.81M
107.28%7.74M
126.49%9.19M
139.01%8.82M
30.01%4.94M
-5.92%3.73M
11.33%4.06M
2.90%3.69M
11.64%3.80M
20.49%3.97M
24.62%3.65M
42.28%3.59M
33.77%3.40M
--3.29M
--2.92M
--2.52M
--2.54M
Deferred tax
145.57%36.00K
-6035.14%-2.27M
-272.46%-119.00K
-37.80%130.00K
56.83%-79.00K
78.36%-37.00K
3350.00%69.00K
5125.00%209.00K
---183.00K
-56.88%-171.00K
111.11%2.00K
-77.78%4.00K
-100.00%0.00
-62.69%-109.00K
85.60%-18.00K
260.00%18.00K
-93.33%8.00K
---67.00K
---125.00K
--5.00K
--120.00K
Other non-cash items
-129.37%-16.13M
-129.28%-6.53M
7.36%-6.84M
22.69%-6.00M
1.35%-7.03M
1622.47%22.29M
-719.71%-7.39M
-648.66%-7.76M
-447.54%-7.13M
-157.62%-1.46M
-51.56%1.19M
-27.67%1.41M
-90.50%2.05M
-63.77%2.54M
9565.38%2.46M
123.94%1.96M
13823.23%21.58M
--7.01M
---26.00K
--873.00K
--155.00K
Change in working capital
36.56%587.54M
21.32%473.84M
57.32%-475.60M
180.26%410.39M
11.70%430.24M
12.63%390.57M
-186.16%-1.11B
-50.29%146.43M
-36.44%385.18M
75.14%346.76M
3.43%-389.39M
181.32%294.57M
74.05%606.05M
-22.37%197.99M
-169.94%-403.21M
-62.09%104.71M
79.65%348.21M
--255.04M
---149.37M
--276.21M
--193.83M
-Change in payables and accrued expense
601.11%199.63M
184.66%34.69M
1642.33%46.83M
209.57%42.78M
3887.82%28.47M
-72.29%12.19M
-112.16%-3.04M
-1182.15%-39.04M
104.85%714.00K
-40.04%43.97M
3.66%24.97M
-74.99%3.61M
-11.43%-14.73M
48.65%73.33M
2894.08%24.09M
25.96%14.42M
-185.52%-13.22M
--49.33M
---862.00K
--11.45M
--15.46M
-Change in other current assets
-117.19%-35.61M
-76.04%2.31M
-25.90%6.50M
-162.98%-16.82M
-488.55%-16.40M
52.99%9.65M
-41.26%8.77M
69.82%-6.39M
70.68%-2.79M
360.14%6.31M
871.13%14.93M
-441.51%-21.18M
24.16%-9.50M
-109.37%-2.43M
58.58%-1.94M
-482.78%-3.91M
51.17%-12.53M
--25.90M
---4.67M
--1.02M
---25.65M
-Change in other current liabilities
41.93%396.11M
55.18%474.46M
43.57%-695.16M
156.31%443.02M
-4.64%279.08M
-30.32%305.75M
-193.54%-1.23B
-47.98%172.84M
-21.26%292.66M
142.21%438.80M
2.55%-419.64M
172.82%332.27M
80.68%371.66M
-2.38%181.17M
-250.93%-430.63M
-37.89%121.79M
29.57%205.70M
--185.58M
---122.71M
--196.11M
--158.76M
Cash from non-recurring investing activities
Cash from operating activities
38.49%878.54M
16.83%346.82M
56.48%-500.14M
200.35%497.15M
52.96%634.36M
96.09%296.87M
-109.58%-1.15B
-22.82%165.52M
-26.32%414.71M
339.09%151.39M
6.94%-548.36M
287.57%214.47M
77.17%562.85M
-61.25%34.48M
-169.16%-589.25M
-77.53%55.34M
198.72%317.69M
--88.98M
---218.92M
--246.32M
--106.35M
Investing cash flow
Net cash from continuing investing activities
51.70%9.03M
11.75%6.82M
16.78%7.57M
34.63%7.56M
-19.37%5.95M
-14.42%6.10M
-32.63%6.48M
-6.66%5.62M
18.12%7.38M
-1.05%7.13M
56.42%9.62M
1.18%6.02M
-5.10%6.25M
116.72%7.21M
117.24%6.15M
52.98%5.95M
65.49%6.58M
--3.33M
--2.83M
--3.89M
--3.98M
Capital expenditures
51.70%9.03M
11.75%6.82M
16.78%7.57M
34.63%7.56M
-19.37%5.95M
-14.42%6.10M
-32.63%6.48M
-6.66%5.62M
18.12%7.38M
-1.05%7.13M
56.42%9.62M
1.18%6.02M
-5.10%6.25M
116.72%7.21M
117.24%6.15M
52.98%5.95M
65.49%6.58M
--3.33M
--2.83M
--3.89M
--3.98M
Net cash flow from disposal of fixed assets
51.70%9.03M
11.75%6.82M
16.78%7.57M
34.63%7.56M
-19.37%5.95M
-14.42%6.10M
-32.63%6.48M
-6.66%5.62M
18.12%7.38M
-1.05%7.13M
56.42%9.62M
1.18%6.02M
-5.10%6.25M
116.72%7.21M
117.24%6.15M
52.98%5.95M
65.49%6.58M
--3.33M
--2.83M
--3.89M
--3.98M
Net cash flow from investment products
44.05%-165.20M
-113.60%-24.62M
-347.75%-572.70M
-1041.08%-470.89M
-306.64%-295.26M
125.88%180.96M
-24.92%231.16M
-40.56%50.04M
31.76%142.89M
-4358.38%-699.12M
3228.39%307.87M
111.99%84.18M
491.55%108.45M
-184.84%-15.68M
97.71%-9.84M
-2415.82%-702.09M
-152.91%-27.70M
--18.48M
---430.60M
--30.32M
--52.35M
Net cash flow from other investing activities
-100.00%0.00
99.45%-13.00K
300.48%2.49M
258.05%825.00K
--626.00K
-450.23%-2.38M
18.48%622.00K
-226.70%-522.00K
-100.00%0.00
-114.16%-432.00K
-85.52%525.00K
--412.00K
--611.00K
686.54%3.05M
1163.07%3.63M
100.00%0.00
100.00%0.00
---520.00K
--287.00K
---654.00K
---356.00K
Cash from non-current investing activities
Net cash flow from investing activities
42.04%-174.23M
-118.23%-31.45M
-356.44%-577.77M
-1188.04%-477.63M
-321.82%-300.59M
124.41%172.48M
-24.59%225.30M
-44.13%43.90M
31.80%135.51M
-3462.43%-706.68M
2516.48%298.77M
111.10%78.58M
399.92%102.81M
-235.51%-19.84M
97.15%-12.36M
-2846.98%-708.03M
-171.40%-34.28M
--14.64M
---433.14M
--25.77M
--48.01M
Financing cash flow
Cash flow from continuous financing activities
-82.16%4.87M
257.06%3.82M
700.00%18.56M
633.12%18.70M
5297.04%27.31M
102.85%1.07M
448.46%2.32M
84.19%2.55M
-99.83%506.00K
-95.94%527.00K
-96.22%423.00K
-53.65%1.39M
-75.34%298.77M
-96.63%12.97M
804.77%11.20M
-98.67%2.99M
274006.33%1.21B
--385.27M
--1.24M
--224.75M
--442.00K
Net cash flow from debt Issuance/repayment
----
----
----
----
----
--0.00
--0.00
--0.00
-100.00%0.00
--0.00
--0.00
--0.00
299.12%305.00M
-100.00%0.00
--0.00
--0.00
---153.17M
--147.00M
--0.00
----
----
Net cash flow from common stock issuance/repurchase
----
----
----
----
----
--0.00
----
----
----
--0.00
--0.00
--0.00
-100.00%0.00
--0.00
--0.00
--0.00
--1.35B
--0.00
--0.00
----
----
Net cash flow from preferred stock issuance/repurchase
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
-100.00%0.00
----
----
--151.24M
--224.43M
----
----
Proceeds from stock option exercised by employees
-79.03%5.73M
256.73%3.82M
6086.67%18.56M
633.12%18.70M
77925.71%27.31M
21300.00%1.07M
-18.92%300.00K
600.82%2.55M
-93.75%35.00K
-99.91%5.00K
-96.70%370.00K
-87.82%364.00K
-98.56%560.00K
-93.75%5.74M
105.02%11.20M
-98.67%2.99M
8688.01%38.84M
--91.87M
---223.19M
--224.75M
--442.00K
Proceeds from issuance of warrants
----
----
----
----
----
--0.00
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Net cash flow from other financing activities
---855.00K
----
----
----
----
-100.00%0.00
--0.00
--0.00
100.00%0.00
--1.85M
--0.00
--0.00
68.65%-7.04M
100.00%0.00
--0.00
--0.00
---22.44M
---4.84M
--0.00
----
----
Net cash from non-recurrent financing activities
Net cash from financing activities
-82.16%4.87M
257.06%3.82M
700.00%18.56M
633.12%18.70M
5297.04%27.31M
102.85%1.07M
448.46%2.32M
84.19%2.55M
-99.83%506.00K
-95.94%527.00K
-96.22%423.00K
-53.65%1.39M
-75.34%298.77M
-96.63%12.97M
804.77%11.20M
-98.67%2.99M
274006.33%1.21B
--385.27M
--1.24M
--224.75M
--442.00K
Net cash flow
Beginning cash balance
-18.02%1.55B
-13.34%1.23B
-2.22%2.29B
5.72%2.25B
19.71%1.89B
-33.42%1.42B
-1.73%2.34B
1.97%2.13B
40.42%1.58B
94.48%2.14B
41.23%2.38B
-10.61%2.09B
33.50%1.13B
209.97%1.10B
67.99%1.69B
360.08%2.34B
138.58%843.11M
--354.21M
--1.01B
--508.18M
--353.38M
Current period cash flow changes
96.41%709.19M
-32.15%319.19M
-14.94%-1.06B
-81.97%38.23M
-34.44%361.08M
184.80%470.41M
-269.89%-921.64M
-28.01%211.97M
-42.90%550.73M
-2108.90%-554.76M
57.80%-249.16M
145.32%294.43M
-35.49%964.43M
-94.35%27.61M
9.28%-590.41M
-230.77%-649.71M
865.71%1.49B
--488.89M
---650.83M
--496.85M
--154.80M
Ending cash balance
0.32%2.26B
-18.02%1.55B
-13.34%1.23B
-2.22%2.29B
5.72%2.25B
19.71%1.89B
-33.42%1.42B
-1.73%2.34B
1.97%2.13B
40.42%1.58B
94.48%2.14B
41.23%2.38B
-10.61%2.09B
33.50%1.13B
209.97%1.10B
67.99%1.69B
360.08%2.34B
--843.11M
--354.21M
--1.01B
--508.18M
Free cash flow
38.37%869.52M
16.93%340.00M
56.07%-507.71M
206.17%489.59M
54.27%628.41M
101.55%290.77M
-107.13%-1.16B
-23.29%159.91M
-26.82%407.34M
428.96%144.26M
6.29%-557.98M
322.06%208.45M
78.91%556.60M
-68.16%27.27M
-168.50%-595.40M
-79.63%49.39M
203.90%311.11M
--85.66M
---221.75M
--242.43M
--102.37M
Currency unit
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