Metric spotlight
PACSFree Cash FlowUpdated Dec 2024

PACS Group, Inc.’s Free Cash Flow at a glance

PACS Group, Inc. reports free cash flow of $300.9M for Dec 2024. The prior period recorded $17.9M (Dec 2023). Year over year the metric moved +$283.0M (+1,579.5%). The rolling three-period average stands at $111.1M. Data last refreshed Nov 21, 2025, 12:32 AM.

Latest reading

$300.9M · Dec 2024

YoY movement

+$283.0M (+1,579.5%)

Rolling average

$111.1M

Current Free Cash Flow

$300.9M

YoY change

+$283.0M

YoY change %

+1,579.5%

Rolling average

$111.1M

PACS · PACS Group, Inc.

Latest Value

$300.9M

Dec 2024

YoY Change

+$283.0M

Absolute

YoY Change %

+1,579.5%

Rate of change

3-Period Avg

$111.1M

Smoothed

2021202220232024

Narrative signal

PACS Group, Inc.’s free cash flow stands at $300.9M for Dec 2024. Year-over-year, the metric shifted by +$283.0M, translating into a +1,579.5% rate of change versus the prior period.

Pair this momentum with product cadence, pricing power, and capital allocation moves to understand durability.

Blend with balance sheet, cash flow, and peer benchmarks from AlphaPilot’s broader dashboards to shape an investable thesis.

How free cash flow shapes PACS Group, Inc.'s story

As of Dec 2024, PACS Group, Inc. reports free cash flow of $300.9M. Track free cash flow trends, reinvestment capacity, and balance sheet flexibility using historical cash flow statements.

Why free cash flow matters

Free cash flow underpins dividends, buybacks, debt reduction, and reinvestment. It is a critical input for equity valuations and credit analysis.

Evaluating free cash flow volatility

Consider cash flow stability alongside growth. Large swings can signal heavy capital investment cycles or working capital shifts that may not repeat.

Balance Sheet Strength

Evaluate leverage, liquidity, and cash generation capacity that underpin resilience.

Related metrics

PACS Group, Inc. (PACS) FAQs

Answers tailored to PACS Group, Inc.’s free cash flow profile using the latest Financial Modeling Prep data.

What is PACS Group, Inc.'s current free cash flow?

As of Dec 2024, PACS Group, Inc. reports free cash flow of $300.9M. This reading reflects the latest filings and price data for PACS.

How is PACS Group, Inc.'s free cash flow trending year over year?

Year-over-year, the figure shifts by +$283.0M (+1,579.5%). Pair this context with revenue growth and free cash flow signals to gauge momentum for PACS.

Why does free cash flow matter for PACS Group, Inc.?

Free cash flow reflects the cash a company generates after funding operations and capital expenditures. For PACS Group, Inc., operating within Financial Services — Financial - Conglomerates, tracking this metric helps benchmark management's execution against close competitors.

Is PACS Group, Inc.'s free cash flow above its recent average?

PACS Group, Inc.'s rolling three-period average sits at $111.1M. Comparing the latest reading of $300.9M to that baseline highlights whether momentum is building or fading for PACS.

How frequently is PACS Group, Inc.'s free cash flow refreshed?

Data for PACS was last refreshed on Nov 21, 2025, 12:32 AM and updates automatically every 24 hours, keeping your valuation inputs current.