Auna S.A. (AUNA) Financial Statements & Historical Data

Auna S.A. (AUNA) — Price $5.23 HealthcareMedical - Care Facilities — NYSE

Latest reported results:

Detailed financial statements for Auna S.A. (AUNA): income statement, balance sheet and cash-flow summary. Track margins, debt, liquidity and profitability trends year over year with up to 20 years of history.

Auna S.A. operates as a healthcare services provider, overseeing a network of hospitals and clinics across Mexico, Peru, and Colombia. The company also offers prepaid medical programs in Peru, alongside dental and vision insurance plans for clients in Mexico. This organization was established in 1989 and maintains its corporate headquarters in Luxembourg.

Analysis Summary

Auna S.A. reported revenue of $4.39B in the most recent fiscal year, growing at a 5-year CAGR of 24.9%.

Trailing-twelve-month margins: gross margin 36.9%, operating margin 13.2%, net margin 0.3%. Free cash flow grew at 42.7% CAGR over 5 years.

At the current price of $5.23, AUNA has negative trailing earnings (P/E not meaningful) and an ROE of 0.90%. Market capitalisation stands at $387M.

Balance sheet quality for AUNA: current ratio of 1.1, net debt of $3.29B. A debt-to-equity below 1.0 typically signals conservative capital structure, while a current ratio above 1.5 indicates comfortable short-term liquidity.

Cash flow quality is strong: free cash flow of $161.8M represents 166% conversion of reported net income. High conversion (above 90%) suggests earnings translate cleanly into cash; lower conversion may indicate working capital tightness or accounting timing differences.

Income Statement (10y)

Year201720182019202020212022202320242025
Revenue$722.8M$861.2M$1.38B$1.44B$1.92B$2.45B$3.88B$4.39B$4.39B
Cost of Revenue$422.2M$497.8M$844.5M$914.4M$1.24B$1.57B$2.44B$2.66B$2.72B
Gross Profit$300.6M$363.4M$538.0M$529.4M$686.9M$879.7M$1.44B$1.73B$1.66B
Research & Development000000000
Selling, General & Admin$219.2M$265.3M$349.7M$376.7M$523.9M$586.7M$777.4M$860.6M$897.1M
Operating Expenses$241.6M$272.7M$370.9M$411.0M$559.0M$636.6M$889.6M$979.1M$1.03B
Operating Income$59.0M$90.8M$167.1M$118.4M$128.0M$243.1M$545.7M$746.2M$631.3M
EBITDA$89.1M$107.6M$221.7M$108.4M$170.1M$299.1M$647.3M$887.0M$856.7M
Interest Expense$23.4M$21.4M$53.5M$63.8M$95.9M$208.5M$535.7M$484.1M$435.0M
Pre-tax Income$35.7M$54.2M$115.1M-$13.2M-$3.1M-$47.4M-$124.2M$183.8M$199.3M
Income Tax$15.1M$17.5M$41.2M-$7.8M$19.9M$29.4M$90.2M$59.8M$88.4M
Net Income$22.1M$36.2M$72.7M-$7.1M-$26.5M-$85.6M-$253.9M$110.3M$97.6M
EPS$0.59$0.97$1.69$-0.16$-0.55$-1.90$-5.78$1.64$3.06
EPS (Diluted)$0.59$0.97$1.69$-0.16$-0.55$-1.90$-5.78$1.63$3.06
Shares Outstanding (Diluted)$37.2M$37.3M$43.0M$45.1M$47.9M$45.0M$43.9M$67.7M$30.1M

Income Statement (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Revenue$1.12B$1.13B$1.18B$1.23B
Gross Profit$419.0M$428.7M$431.1M$438.9M
Operating Income$166.0M$144.3M$154.7M$148.3M
EBITDA$270.3M$40.7M$192.2M$206.5M
Net Income$48.0M-$68.4M$6.5M$29.2M
EPS$0.65$-2.12$0.09$0.41
EPS (Diluted)$0.65$-2.12$0.09$0.41

Balance Sheet (10y)

Year201720182019202020212022202320242025
Cash & Equivalents$32.5M$110.9M$36.1M$343.5M$138.8M$208.7M$241.1M$235.7M$335.4M
Short-term Investments000000$93.1M$100.2M$30.2M
Receivables$70.0M$238.1M$285.6M$370.6M$352.7M$574.2M$860.9M$961.9M$1.06B
Inventory$17.9M$31.8M$37.1M$52.6M$61.2M$87.6M$130.5M$143.8M$164.8M
Total Current Assets$156.0M$446.8M$441.9M$836.2M$671.3M$1.20B$1.55B$1.70B$1.84B
Property, Plant & Equipment$451.2M$794.6M$956.7M$1.20B$1.35B$2.46B$2.71B$2.41B$2.40B
Goodwill$20.6M$193.4M$188.1M$197.7M$185.0M$1.81B$2.07B$1.75B$1.80B
Intangible Assets$27.4M$238.2M$243.5M$293.2M$325.0M$953.0M$1.06B$902.6M$901.8M
Total Assets$697.2M$1.74B$1.89B$2.65B$2.82B$6.59B$7.69B$7.08B$7.30B
Accounts Payable$83.4M$224.8M$230.3M$351.2M$454.1M$512.6M$749.3M$931.3M$1.05B
Short-term Debt$71.2M$109.8M$182.2M$18.4M$29.7M$2.04B$385.3M$654.2M$316.3M
Total Current Liabilities$254.2M$475.6M$589.9M$566.7M$698.5M$2.85B$1.69B$1.95B$1.67B
Long-term Debt$108.7M$544.9M$487.0M$1.19B$1.32B$1.31B$3.38B$2.97B$3.22B
Total Liabilities$443.8M$1.21B$1.31B$2.00B$2.28B$5.04B$5.91B$5.46B$5.53B
Retained Earnings-$58.5M-$38.2M$17.2M-$12.6M-$45.5M-$91.0M-$366.9M-$273.5M$414.5M
Total Equity$252.1M$517.6M$562.3M$600.9M$495.8M$1.06B$1.47B$1.48B$1.60B
Total Debt$244.7M$747.5M$848.2M$1.35B$1.49B$3.51B$3.92B$3.77B$3.66B
Net Debt$212.2M$636.7M$812.1M$1.01B$1.35B$3.30B$3.59B$3.43B$3.29B
Working Capital-$98.1M-$28.8M-$148.0M$269.4M-$27.2M-$1.65B-$140.2M-$241.4M$177.5M

Balance Sheet (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Cash & Equivalents$225.7M$335.4M$408.6M$477.0M
Total Assets$7.28B$7.30B$7.69B$7.78B
Total Liabilities$5.47B$5.53B$5.77B$5.73B
Total Equity$1.66B$1.60B$1.74B$1.86B
Total Debt$3.70B$3.66B$3.82B$3.72B

Cash Flow (10y)

Year201720182019202020212022202320242025
Net Income$20.7M$36.6M$73.9M-$5.4M-$23.0M-$76.8M-$214.3M$124.0M$92.0M
Depreciation & Amortization$30.0M$32.0M$56.7M$64.7M$77.4M$138.1M$235.8M$219.1M$209.7M
Stock-based Compensation000000$3.7M$9.1M0
Change in Working Capital$2.3M$4.3M-$63.8M$2.3M$49.0M-$174.1M-$140.5M-$172.6M-$49.1M
Operating Cash Flow$95.9M$109.3M$152.4M$156.3M$183.3M$162.6M$582.4M$668.5M$242.8M
Capital Expenditure-$5.3M-$39.0M-$104.6M-$128.9M-$289.4M-$152.0M-$165.2M-$90.9M-$81.1M
Acquisitions0-$533.7M0$259000-$3.9M-$2.95B-$96.1M-$47.2M$6.1M
Stock Repurchased000000000
Dividends Paid0-$10.0M-$10.0M-$10.0M0-$131000-$6.8M-$1.1M0
Free Cash Flow$90.6M$70.3M$47.8M$27.4M-$106.0M$10.7M$417.2M$577.6M$161.8M

Cash Flow (Quarterly)

Year2025-Q32025-Q42026-Q12026-Q2
Operating Cash Flow$188.6M$92.4M$174.9M$139.9M
Capital Expenditure-$18.4M-$22.3M-$34.0M-$17.4M
Free Cash Flow$170.1M$70.1M$140.9M$122.5M
Dividends Paid0000
Stock-based Compensation00$1.9M0

Growth & Margins (10y)

Year201720182019202020212022202320242025
Revenue Growth (YoY)+19.2%+60.5%+4.4%+33.2%+27.4%+58.1%+13.2%-0.0%
Net Income Growth (YoY)+64.0%+100.9%-109.8%-272.6%-223.4%-196.6%+143.4%-11.5%
EPS Growth (YoY)+64.4%+74.2%-109.5%-243.8%-245.5%-204.2%+128.4%+86.6%
Shares Change (YoY)+0.5%+15.2%+5.0%+6.1%-6.0%-2.5%+54.0%-55.5%
FCF Growth (YoY)-22.4%-32.0%-42.8%-487.3%+110.1%+3809.7%+38.4%-72.0%
Gross Margin41.6%42.2%38.9%36.7%35.7%35.9%37.0%39.3%37.9%
Operating Margin8.2%10.5%12.1%8.2%6.7%9.9%14.1%17.0%14.4%
EBITDA Margin12.3%12.5%16.0%7.5%8.8%12.2%16.7%20.2%19.5%
Net Margin3.1%4.2%5.3%-0.5%-1.4%-3.5%-6.6%2.5%2.2%
FCF Margin12.5%8.2%3.5%1.9%-5.5%0.4%10.8%13.2%3.7%
Effective Tax Rate42.2%32.4%35.8%59.3%-636.5%-61.9%-72.6%32.5%44.3%

Per-Share Data (10y)

Year201720182019202020212022202320242025
FCF Per Share$2.44$1.88$1.11$0.61$-2.21$0.24$9.50$8.54$5.37
Dividends Per Share$0.00$0.27$0.23$0.22$0.00$0.00$0.16$0.02$0.00
Shares Outstanding (Basic)$37.2M$37.3M$43.0M$45.1M$47.9M$45.0M$43.9M$67.7M$30.1M

What to look at in Healthcare / Pharma

The R&D pipeline is the invisible asset. Patents expiring = revenues evaporating. Look at innovation and cash flow.

Profitability

Return on Equity0.90%
Return on Invested Capital3.72%
Return on Assets0.20%
Gross Margin36.90%
Operating Margin13.18%
Net Margin0.33%

Financial Health

Debt / Equity2.01
Current Ratio1.08

Key Ratios (10y)

Year201720182019202020212022202320242025
P/E52.6233.3018.81-217.14-69.56-19.21-6.1615.775.41
P/B4.582.332.432.613.701.541.071.180.31
P/S1.601.400.991.090.950.670.400.400.11
Gross Margin41.6%42.2%38.9%36.7%35.7%35.9%37.0%39.3%37.9%
Operating Margin8.2%10.5%12.1%8.2%6.7%9.9%14.1%17.0%14.4%
Net Margin3.1%4.2%5.3%-0.5%-1.4%-3.5%-6.6%2.5%2.2%

Related companies: AGL · AUTL · CBLL · CCRN · EHAB · KIDS · SMLR

Explore sector: Healthcare · Medical - Care Facilities

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