v3.25.1
Summary of Significant Accounting Policies (Tables)
3 Months Ended
Mar. 31, 2025
Accounting Policies [Abstract]  
Schedule of Variable Interest Entities The total liabilities of VIEs included in the Company’s unaudited condensed consolidated balance sheets are shown below (in
thousands):
March 31, 2025
December 31, 2024
Current liabilities
Current installments of long-term debt
$2,836
$2,266
Accounts payable
82,958
89,428
Accrued salaries and benefits
32,213
37,713
Other accrued expenses and liabilities
50,458
45,250
Total current liabilities
168,465
174,657
Long-term debt, less current installments
12,398
8,192
Long-term operating lease liability
108,878
108,897
Long-term operating lease liability, related party
9,397
9,423
Self-insured liabilities
676
676
Other long-term liabilities
5,022
4,595
Total liabilities
$304,836
$306,440
Disaggregation of Revenue The Company’s total revenue is presented in the following table (dollars in thousands):
 
Three Months Ended March 31,
 
2025
2024
 
Amount
% of Total
Revenue
Amount
% of Total
Revenue
Medicare
$595,637
39.8%
$569,483
39.6%
Medicaid
149,343
10.0%
156,278
10.9%
Other managed care
645,152
43.1%
613,117
42.6%
Self-pay and other
80,979
5.4%
77,218
5.3%
Net patient service revenue
$1,471,111
98.3%
$1,416,096
98.4%
Other revenue
26,123
1.7%
22,950
1.6%
Total revenue
$1,497,234
100.0%
$1,439,046
100.0%
Revenue from External Customers by Geographic Areas The following is an analysis by state of revenue as a percentage of the Company’s total
revenue for those states in which the Company generates significant revenue:
 
Three Months Ended March 31,
 
2025
2024
Oklahoma
24.6%
24.2%
New Mexico
14.0%
15.5%
Texas
37.6%
36.4%
New Jersey
10.7%
10.3%
Other
13.1%
13.6%
Total
100.0%
100.0%
Schedule of Carrying Amounts and Fair Values of Debt Instruments The carrying amounts and fair values of the Company’s senior secured term loan facility and its 5.75% Senior Notes due
2029 (the “5.75% Senior Notes”) were as follows (in thousands):
 
 
Carrying Amount
Fair Value
 
March 31, 2025
December 31, 2024
March 31, 2025
December 31, 2024
Senior secured term loan facility
$774,032
$773,772
$773,064
$779,575
5.75% Senior Notes
$299,619
$299,596
$277,147
$289,110