Mobile-health Network Solutions Class A Ordinary Shares (MNDR)

USD 0.3

(0.7%)

Total Assets Summary of Mobile-health Network Solutions Class A Ordinary Shares

  • Mobile-health Network Solutions Class A Ordinary Shares's latest annual total assets in 2023 was 7.95 Million USD , up 212.56% from previous year.
  • Mobile-health Network Solutions Class A Ordinary Shares's latest quarterly total assets in 2023 Q4 was 7.95 Million USD , down 0.0% from previous quarter.
  • Mobile-health Network Solutions Class A Ordinary Shares reported annual total assets of 2.54 Million USD in 2022, down -67.09% from previous year.
  • Mobile-health Network Solutions Class A Ordinary Shares reported annual total assets of 7.72 Million USD in 2021, up 1013.73% from previous year.
  • Mobile-health Network Solutions Class A Ordinary Shares reported quarterly total assets of 3.84 Million USD for 2023 Q2, down 0.0% from previous quarter.
  • Mobile-health Network Solutions Class A Ordinary Shares reported quarterly total assets of 7.95 Million USD for 2023 Q4, down 0.0% from previous quarter.

Annual Total Assets Chart of Mobile-health Network Solutions Class A Ordinary Shares (2023 - 2020)

Historical Annual Total Assets of Mobile-health Network Solutions Class A Ordinary Shares (2023 - 2020)

Year Total Assets Total Assets Growth
2023 7.95 Million USD 212.56%
2022 2.54 Million USD -67.09%
2021 7.72 Million USD 1013.73%
2020 693.92 Thousand USD 0.0%

Peer Total Assets Comparison of Mobile-health Network Solutions Class A Ordinary Shares

Name Total Assets Total Assets Difference
Acadia Healthcare Company, Inc. 5.35 Billion USD 99.852%
Addus HomeCare Corporation 1.02 Billion USD 99.224%
AirSculpt Technologies, Inc. 213.55 Million USD 96.277%
Amedisys, Inc. 2.06 Billion USD 99.614%
American Oncology Network, Inc. 374.45 Million USD 97.877%
Astrana Health, Inc. 933.36 Million USD 99.148%
Aveanna Healthcare Holdings Inc. 1.63 Billion USD 99.514%
IMAC Holdings, Inc. 1.14 Million USD -594.912%
biote Corp. 155.29 Million USD 94.88%
Cryo-Cell International, Inc. 61.22 Million USD 87.013%
Cross Country Healthcare, Inc. 679.31 Million USD 98.83%
COMPASS Pathways plc 275.98 Million USD 97.119%
DocGo Inc. 490.45 Million USD 98.379%
The Ensign Group, Inc. 4.17 Billion USD 99.81%
Healthcare Services Group, Inc. 803.18 Million USD 99.01%
InnovAge Holding Corp. 547.66 Million USD 98.548%
Assure Holdings Corp. 7.51 Million USD -5.811%
The Joint Corp. 87.15 Million USD 90.877%
LifeStance Health Group, Inc. 2.23 Billion USD 99.644%
ModivCare Inc. 1.76 Billion USD 99.55%
NewGenIvf Group Limited 1.64 Million USD -382.598%
Novo Integrated Sciences, Inc. 35.56 Million USD 77.644%
Option Care Health, Inc. 3.32 Billion USD 99.761%
P3 Health Partners Inc. 860.96 Million USD 99.077%
P3 Health Partners Inc. 860.96 Million USD 99.077%
The Pennant Group, Inc. 539.69 Million USD 98.527%
Surgery Partners, Inc. 7.01 Billion USD 99.887%
Syra Health Corp. Class A Common Stock 4.92 Million USD -61.49%
Talkspace, Inc. 142.22 Million USD 94.41%
Talkspace, Inc. 142.22 Million USD 94.41%
The Oncology Institute, Inc. 219.41 Million USD 96.376%
The Oncology Institute, Inc. 219.41 Million USD 96.376%