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U s Neurosurgical Holdings Inc   (USNU)
Other Ticker:  
 
    Sector  Healthcare    Industry Healthcare Facilities
   Industry Healthcare Facilities
   Sector  Healthcare

U S Neurosurgical Holdings Inc 's Quick Ratio

USNU's quarterly Quick Ratio and Cash & cash equivalent, Current Liabilities growth




USNU Quick Ratio (Jun 30 2020)
II. Quarter
(Mar 31 2020)
I. Quarter
(Dec 31 2019)
IV. Quarter
(Sep 30 2019)
III. Quarter
(Jun 30 2019)
II. Quarter
Y / Y Current Liabilities Change -27.68 % -19.97 % 0.74 % -23.7 % 43.8 %
Y / Y Cash & cash equivalent Change 22.93 % 21.51 % -12.11 % -13.75 % -29 %
Quick Ratio MRQ 1.25 0.91 0.82 0.86 0.74
Overall Ranking # # # # #
Seq. Current Liabilities Change -17.05 % 16.73 % 1.17 % -26.17 % -8.2 %
Seq. Cash & cash equivalent Change 14.71 % 29.89 % -4.09 % -13.97 % 13.38 %



Quick Ratio second quarter 2020 Comment
U S Neurosurgical Holdings Inc 's Cash & cash equivalent grew by 14.71 % in II. Quarter sequntially, while Current Liabilities decreased, this led to improvement in U S Neurosurgical Holdings Inc 's Quick Ratio to 1.25, Quick Ratio remained below U s Neurosurgical Holdings Inc average.

Within Healthcare Facilities industry 14 other companies have achieved higher Quick Ratio than U S Neurosurgical Holdings Inc in second quarter 2020. While total ranking remained unchanged compare to previous quarter at no. .

Explain Quick Ratio?
What are USNU Segments?
See Quick Ratio USNU on the trailing twelve month basis
Quick Ratio second quarter 2020 Company Ranking
Within: No.
Healthcare Facilities Industry # 15
Healthcare Sector # 546
Overall Market # 1584


Quick Ratio Statistics
High Average Low
3.27 1.31 0.51
(Mar 31 2013)   (Dec 31 2012)




Financial Statements
U S Neurosurgical Holdings Inc 's Current Liabilities $ 2 Millions Visit USNU's Balance sheet
U S Neurosurgical Holdings Inc 's Cash & cash equivalent $ 2 Millions Visit USNU's Balance sheet
Source of USNU's Sales Visit USNU's Sales by Geography




Companies with similar Quick Ratio in the quarter endingJun 30 2020, within Healthcare Facilities Industry Quick RatioJun 30 2020 MRQ Cash & cash equivalentJun 30 2020 MRQ Current Liabilities
Petmed Express Inc  2.98 $ 86.821  Millions$ 29.169  Millions
Diversified Healthcare Trust  2.89 $ 78.485  Millions$ 27.162  Millions
Progyny Inc   2.86 $ 91.376  Millions$ 31.935  Millions
Baudax Bio Inc   1.96 $ 39.410  Millions$ 20.153  Millions
Apollo Medical Holdings Inc   1.77 $ 270.097  Millions$ 152.507  Millions
Addus Homecare Corporation  1.69 $ 158.549  Millions$ 93.685  Millions
U s Neurosurgical Holdings Inc   1.25 $ 1.989  Millions$ 1.586  Millions
Brookdale Senior Living Inc   1.09 $ 590.711  Millions$ 543.851  Millions
Tabula Rasa Healthcare inc   1.08 $ 41.884  Millions$ 38.784  Millions
National Healthcare Corp  1.07 $ 281.146  Millions$ 262.142  Millions
Sunlink Health Systems Inc  0.98 $ 11.184  Millions$ 11.416  Millions
Regional Health Properties Inc   0.87 $ 4.812  Millions$ 5.518  Millions
Five Star Senior Living Inc   0.84 $ 121.711  Millions$ 145.487  Millions
U S Physical Therapy Inc  0.75 $ 43.555  Millions$ 57.762  Millions
Surgery Partners Inc   0.73 $ 326.300  Millions$ 446.500  Millions
Davita Inc   0.72 $ 3,083.025  Millions$ 4,274.563  Millions
Ontrak Inc   0.69 $ 12.650  Millions$ 18.260  Millions
Encompass Health Corporation  0.67 $ 419.000  Millions$ 622.200  Millions
Tenet Healthcare Corp  0.63 $ 3,514.000  Millions$ 5,585.000  Millions
Hca Healthcare Inc   0.59 $ 4,638.000  Millions$ 7,857.000  Millions
Mednax Inc   0.58 $ 222.793  Millions$ 383.933  Millions
Hanger inc   0.57 $ 129.853  Millions$ 226.638  Millions
Healthcare Services Group Inc   0.54 $ 92.318  Millions$ 169.495  Millions
Community Health Systems Inc   0.45 $ 1,552.000  Millions$ 3,422.000  Millions
Tivity Health Inc   0.41 $ 60.274  Millions$ 147.566  Millions
Biocorrx Inc   0.41 $ 1.464  Millions$ 3.590  Millions
Select Medical Holdings Corp  0.41 $ 509.737  Millions$ 1,255.969  Millions
Acadia Healthcare Company Inc   0.40 $ 211.939  Millions$ 527.364  Millions
Amedisys Inc  0.40 $ 177.278  Millions$ 442.048  Millions
Ensign Group Inc  0.38 $ 218.095  Millions$ 581.038  Millions


       
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