Symbol Description Ent Val P/E ROE Div Yield Debt/Equity P/B ProfitMargin Debt/CF H-Rank C-Rank
ACCD Accolade Inc 757 M   -26   55 1.7 -31 -9.8 56.0 73
ACON Aclarion Inc 818 K   -655       0.00   76.7 135
AGTI Agiliti Inc 3.9 B   -2.0   124 1.5 -1.6 6.9 44.4 35
AKLI Akili Inc -39 M   -70   26 0.36 0.00 -0.27 43.9 46
AMWL American Well Corporation -95 M   -86   2.5 0.54 -260 -0.08 48.1 48
AUGX Augmedix Inc 174 M   -154   110 8.3 -42 -1.7 71.9 122
BEAT Heartbeam Inc 42 M   -118     3.3 0.00   67.7 105
BFRG Bullfrog AI Holdings Inc 19 M   -701   5.7 6.0 0.00 -0.04 52.7 60
BTSG BrightSpring Health Services Inc 5.3 B   -22   599   -1.8   69.7 115
BTSGU BrightSpring Health Services Inc         572   -2.4   80.7 151
CCLD CareCloud Inc 30 M   -4.7   19 0.22 -3.7 0.96 33.4 13
CERT Certara Inc 3.0 B   -5.2   28 2.8 -15 3.7 44.1 39
CMAX CareMax Inc 445 M   -200   800 0.30 -90 -10.0 65.0 92
DH Definitive Healthcare Corp 1.2 B   -21   22 1.1 -80 6.5 43.3 34
DOCS Doximity Inc 4.6 B 42 15   1.7 6.1 29 0.09 17.8 5
EUDA Euda Health Holdings Limited 44 M           0.00   78.2 140
EVH Evolent Health 4.3 B   -10.0   51 3.4 -5.8 4.5 46.6 46
FORA Forian Inc 80 M   -32   92 4.1 19 14 40.9 38
FOXO FOXO Technologies Inc 7.4 M 0.01 -1754       0.00   67.3 95
GDRX GoodRx Holdings Inc 2.6 B   -1.1   93 3.4 -1.2 5.1 47.5 47
GEHC GE HealthCare Technologies Inc 49 B 29 19 0.13 134 5.8 8.0 4.7 30.2 25
HCAT Health Catalyst 395 M   -29   67 1.3 -39 -7.5 56.0 72
HCTI Healthcare Triangle Inc 12 M   -100   56 1.4 -31 -0.69 58.9 80
HQY HealthEquity Inc 7.7 B 245 2.8   45 3.5 5.6 3.8 28.2 20
HSTM HealthStream Inc 758 M 53 4.5 0.38 6.8 2.4 5.5 0.36 19.2 9
ICCT iCoreConnect Inc 16 M   -433   77 1.6 -125 -3.6 67.5 104
LFMD LifeMD Inc 427 M       340 118 -13 2.1 66.8 107
LGMK LogicMark Inc -2.9 M   -33   0.59 0.07 -82 -0.03 36.7 27
LIFW MSP Recovery Inc 2.0 B   -22   39 0.04 0.00 -15 43.2 43
MPLN MultiPlan Corporation 5.0 B   -5.2   268 0.28 -9.5 26 42.8 25
NRC National Research Corporation 984 M 31 51 1.2 79 19 20 1.00 28.1 22
OMCL Omnicell Inc 1.4 B   -1.8   51 1.1 -1.8 3.4 40.1 27
ONMD OneMedNet Corp 41 M           0.00   78.2 140
OPRX OptimizeRx Corporation 165 M   -11   0.13 1.8 -21 0.08 32.9 17
OTRK Ontrak Inc 24 M   -714       -261   86.2 176
OWLT Owlet Inc 45 M           -60   85.3 171
PGNY Progyny Inc 3.2 B 58 13   3.5 6.3 5.7 0.10 21.2 10
PHR Phreesia Inc 880 M   -50   2.6 5.2 -38 -0.39 54.2 70
PINC Premier Inc 2.4 B 15 6.9 3.9 7.5 1.1 12 0.64 13.9 5
PRVA Privia Health Group Inc 2.1 B 109 3.7   1.4 4.4 1.4 0.10 20.5 8
RNLX Renalytix plc 103 M   -651       0.00   76.7 135
SDGR Schrodinger Inc 1.5 B 48 8.2   23 3.4 18 -0.94 32.2 17
SHCR Sharecare Inc 278 M   -21   0.49 0.77 -25 -0.08 37.8 34
SHLT SHL Telemedicine Ltd 100 M   -2.9   30 1.3 -4.1 -4.8 50.0 59
SLP Simulations Plus Inc 751 M 81 6.0 0.57 0.63 5.0 17 0.06 17.9 4
SOPH SOPHiA GENETICS SA 200 M   -44   12 2.0 -126 -0.38 53.6 67
SPOK Spok Holdings Inc 312 M 21 9.4 7.5 6.8 2.0 11 0.42 15.8 6
STRM Streamline Health Solutions Inc 9.1 M   -72   1.1 0.80 -81 -0.07 45.3 45
SY So Young International Inc -1.2 B 20 1.5   1.5 0.04 2.5 1.1 9.6 1
TALK Talkspace Inc 432 M   -15     4.7 -12   66.8 102
TBRG TruBridge Inc 341 M   -21   108   -13   68.6 113
TDOC Teladoc Health Inc 3.0 B   -9.5   68 1.1 -8.5 4.6 42.7 31
VEEV Veeva Systems Inc 33 B 71 12   1.2 8.0 22 0.06 19.1 5
WGS GeneDx Holdings Corp 209 M   -72   52 0.96 -86 -0.66 57.5 74
WORX SCWorx Corp 3.8 M   -25   7.8 0.55 -42 -0.59 45.2 48
ZCMD Zhongchao Inc -3.8 M   -25   5.3 0.17 -45 -0.84 43.8 46

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