bf/NASDAQ:SYNH_icon.jpeg

NASDAQ:SYNH

Syneos Health, Inc.

  • Stock

USD

Last Close

42.97

27/09 20:00

Market Cap

4.46B

Beta: 1.62

Volume Today

6.70M

Avg: 1.53M

PE Ratio

62.57

PFCF: 27.53

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Mar '23
net income
-41.53M
-
-23.47M
43.49%
117.05M
598.71%
112.63M
3.77%
-138.47M
222.94%
24.28M
117.54%
131.26M
440.51%
192.79M
46.88%
234.83M
21.81%
266.50M
13.48%
depreciation and amortization
58.47M
-
54.54M
6.72%
56.01M
2.70%
59.20M
5.70%
179.94M
203.93%
273.69M
52.10%
242.47M
11.41%
222.35M
8.30%
235.63M
5.97%
247.18M
4.90%
deferred income tax
3.65M
-
-14.84M
506.94%
4.13M
127.86%
-22.26M
638.46%
14.43M
164.83%
240K
98.34%
-40.07M
16,795.42%
-3.84M
90.42%
46.52M
1,311.83%
-1.86M
104.00%
stock based compensation
2.42M
-
3.37M
39.31%
5.07M
50.56%
14.02M
176.31%
59.70M
325.79%
34.32M
42.50%
55.19M
60.80%
58.49M
5.98%
65.20M
11.48%
57.27M
12.17%
change in working capital
6.22M
-
45.48M
630.55%
7.76M
82.94%
-79.21M
1,121.01%
47.03M
159.37%
-3.74M
107.96%
-93.06M
2,385.58%
-41.69M
55.20%
-137.15M
228.97%
-126.72M
7.60%
accounts receivables
-97.62M
-
-120.39M
23.32%
16.32M
113.55%
-109.36M
770.29%
-88.25M
19.31%
inventory
-28.32M
-
2.56M
109.04%
-24.62M
1,061.34%
accounts payables
28.32M
-
-2.56M
109.04%
24.62M
1,061.34%
20.93M
15.00%
other working capital
6.22M
-
45.48M
630.55%
7.76M
82.94%
-79.21M
1,121.01%
47.03M
159.37%
93.88M
99.62%
27.33M
70.89%
-58.01M
312.25%
-27.78M
52.10%
-59.39M
113.77%
other non cash items
8.04M
-
66.36M
725.83%
14.71M
77.83%
24.95M
69.56%
35.64M
42.85%
-25.34M
171.11%
22.69M
189.56%
-2.61M
111.49%
5.24M
301.04%
-15.38M
393.42%
net cash provided by operating activities
37.27M
-
131.45M
252.69%
204.74M
55.76%
109.33M
46.60%
198.26M
81.34%
303.45M
53.06%
318.48M
4.95%
425.49M
33.60%
450.28M
5.83%
426.98M
5.17%
investments in property plant and equipment
-17.71M
-
-25.55M
44.24%
-21.11M
17.38%
-31.35M
48.51%
-43.90M
40.01%
-54.59M
24.37%
-63.97M
17.18%
-50.01M
21.83%
-56.84M
13.66%
-93.46M
64.42%
acquisitions net
-2.30M
-
-1.68B
-
-90.89M
94.59%
-17.69M
80.54%
-454.07M
2,467.13%
-284.66M
37.31%
-12.18M
95.72%
purchases of investments
sales maturities of investments
other investing activites
-197K
-
1.16M
-
net cash used for investing activites
-17.71M
-
-27.85M
57.24%
-21.11M
24.21%
-31.35M
48.51%
-1.72B
5,395.19%
-145.49M
91.56%
-81.66M
43.87%
-504.08M
517.29%
-340.35M
32.48%
-105.63M
68.96%
debt repayment
-6.83M
-
-503.16M
7,270.15%
-490.45M
2.53%
-105M
78.59%
-865.67M
724.44%
-424.37M
50.98%
-892.94M
110.42%
-650.33M
27.17%
-823.05M
26.56%
-2.06B
150.77%
common stock issued
3.14M
-
156.11M
4,868.59%
23.70M
-
common stock repurchased
-1.39M
-
-3.42M
146.19%
-286.42M
8,270.05%
-64.50M
77.48%
-74.98M
-
-56.72M
24.36%
-70.15M
23.69%
-117.52M
67.53%
-149.96M
27.60%
dividends paid
-500K
-
-375K
25%
other financing activites
1.88M
-
283.15M
14,993.07%
565.48M
99.71%
116.18M
79.45%
2.60B
2,137.86%
180.00M
93.08%
734.19M
307.89%
898.74M
22.41%
663.00M
26.23%
1.85B
179.20%
net cash used provided by financing activities
-6.84M
-
-67.70M
889.59%
-211.40M
212.27%
-53.32M
74.78%
1.73B
3,353.00%
-319.36M
118.41%
-215.47M
32.53%
178.26M
182.73%
-277.58M
255.71%
-339.16M
22.18%
effect of forex changes on cash
2.89M
-
-6.42M
321.67%
-13.67M
113.13%
-7.20M
47.32%
9.07M
225.95%
-4.65M
151.27%
-13.59M
192.28%
8.81M
164.81%
1.95M
77.90%
23.34M
1,098.72%
net change in cash
15.61M
-
29.48M
88.87%
-41.44M
240.57%
17.46M
142.13%
218.79M
1,153.10%
-166.04M
175.89%
7.76M
104.67%
108.48M
1,298.53%
-165.70M
252.74%
5.53M
103.34%
cash at beginning of period
81.36M
-
96.97M
19.18%
126.45M
30.40%
85.01M
32.77%
102.47M
20.54%
321.98M
214.21%
155.93M
51.57%
163.69M
4.97%
272.17M
66.27%
106.47M
60.88%
cash at end of period
96.97M
-
126.45M
30.40%
85.01M
32.77%
102.47M
20.54%
321.26M
213.52%
155.93M
51.46%
163.69M
4.97%
272.17M
66.27%
106.47M
60.88%
112.00M
5.19%
operating cash flow
37.27M
-
131.45M
252.69%
204.74M
55.76%
109.33M
46.60%
198.26M
81.34%
303.45M
53.06%
318.48M
4.95%
425.49M
33.60%
450.28M
5.83%
426.98M
5.17%
capital expenditure
-17.71M
-
-25.55M
44.24%
-21.11M
17.38%
-31.35M
48.51%
-43.90M
40.01%
-54.59M
24.37%
-63.97M
17.18%
-50.01M
21.83%
-56.84M
13.66%
-93.46M
64.42%
free cash flow
19.56M
-
105.90M
441.50%
183.63M
73.41%
77.98M
57.53%
154.36M
97.95%
248.85M
61.21%
254.51M
2.27%
375.48M
47.53%
393.44M
4.78%
333.52M
15.23%

All numbers in USD (except ratios and percentages)