Accolade, Inc. (ACCD)

USD 7.02

(0.0%)

EBITDA Summary of Accolade, Inc.

  • Accolade, Inc.'s latest annual EBITDA in 2024 was -71.19 Million USD , up 35.48% from previous year.
  • Accolade, Inc.'s latest quarterly EBITDA in 2024 FY was N/A , down -134.56% from previous quarter.
  • Accolade, Inc. reported an annual EBITDA of -110.34 Million USD in 2023, up 241.66% from previous year.
  • Accolade, Inc. reported an annual EBITDA of -130.91 Million USD in 2022, down -232.37% from previous year.
  • Accolade, Inc. reported a quarterly EBITDA of N/A for 2024 FY, down -134.56% from previous quarter.
  • Accolade, Inc. reported a quarterly EBITDA of -27.98 Million USD for 2024 Q1, down -41.63% from previous quarter.

Annual EBITDA Chart of Accolade, Inc. (2024 - 2018)

Historical Annual EBITDA of Accolade, Inc. (2024 - 2018)

Year EBITDA EBITDA Growth
2024 -71.19 Million USD 35.48%
2023 -110.34 Million USD 241.66%
2022 -130.91 Million USD -232.37%
2021 -38.71 Million USD 2.72%
2020 -39.79 Million USD 10.93%
2019 -44.67 Million USD 13.26%
2018 -51.5 Million USD 0.0%

Peer EBITDA Comparison of Accolade, Inc.

Name EBITDA EBITDA Difference
Omnicell, Inc. 60.69 Million USD 217.306%
Renalytix Plc -28.52 Million USD -149.616%
Schrödinger, Inc. -171.89 Million USD 58.584%
Simulations Plus, Inc. 6.13 Million USD 1261.197%
SOPHiA GENETICS SA -70.7 Million USD -0.697%
Streamline Health Solutions, Inc. -12.81 Million USD -455.501%
BrightSpring Health Services, Inc. Common Stock 349.51 Million USD 120.369%
CareCloud, Inc. -31.29 Million USD -127.526%
HealthEquity, Inc. 282.41 Million USD 125.209%
iCoreConnect Inc. -11.87 Million USD -499.298%
Inovalon Holdings, Inc. 186.56 Million USD 138.16%
Ontrak, Inc. -14.41 Million USD -393.847%
Minerva Surgical, Inc. -20.07 Million USD -254.67%
Nutex Health, Inc. -14.58 Million USD -388.247%
OneMedNet Corporation -11.97 Million USD -494.724%
Progyny, Inc. 64.46 Million USD 210.437%
Augmedix, Inc. -17.68 Million USD -302.653%
CareCloud, Inc. -31.29 Million USD -127.526%
GE HealthCare Technologies Inc. 3.56 Billion USD 102.0%
Sharecare, Inc. -67.25 Million USD -5.857%
Aclarion, Inc. -4.14 Million USD -1619.466%
CareMax, Inc. -590.46 Million USD 87.943%
Bullfrog AI Holdings, Inc. Common Stock -5.27 Million USD -1249.616%
Forian Inc. 2.75 Million USD 2688.562%
Bullfrog AI Holdings, Inc. Warrants -5.27 Million USD -1249.616%
HeartBeam, Inc. 675 Thousand USD 10647.111%
GeneDx Holdings Corp. -136.46 Million USD 47.829%
SCWorx Corp. -3.97 Million USD -1691.156%
Definitive Healthcare Corp. -241.22 Million USD 70.487%
10x Genomics, Inc. -205.11 Million USD 65.291%
Zhongchao Inc. -4.9 Million USD -1352.221%
MSP Recovery, Inc. -69.22 Million USD -2.849%
R1 RCM Inc. 426.2 Million USD 116.704%
Spok Holdings, Inc. 26.29 Million USD 370.727%
Privia Health Group, Inc. 27.18 Million USD 361.912%
EUDA Health Holdings Limited -8.3 Million USD -757.71%
TruBridge, Inc. -15.39 Million USD -362.563%
BrightSpring Health Services, Inc. Tangible Equity Unit 349.51 Million USD 120.369%
Sharecare, Inc. -67.25 Million USD -5.857%
Health Catalyst, Inc. -66.46 Million USD -7.118%
GoodRx Holdings, Inc. 108.82 Million USD 165.42%
Premier, Inc. 286.08 Million USD 124.885%
HealthStream, Inc. 59.58 Million USD 219.477%
Certara, Inc. 23.84 Million USD 398.578%
GeneDx Holdings Corp. -136.46 Million USD 47.829%
Ontrak, Inc. -14.41 Million USD -393.847%
SHL Telemedicine Ltd. 3.28 Million USD 2268.195%
CareCloud, Inc. -31.29 Million USD -127.526%
EUDA Health Holdings Limited -8.3 Million USD -757.71%
HeartBeam, Inc. 675 Thousand USD 10647.111%
Mangoceuticals, Inc. -9.18 Million USD -674.887%
CareMax, Inc. -590.46 Million USD 87.943%
Healthcare Triangle, Inc. -4.1 Million USD -1634.722%
National Research Corporation 45.98 Million USD 254.818%
Aclarion, Inc. -4.14 Million USD -1619.466%
OptimizeRx Corporation -21.3 Million USD -234.108%