InnovAge Holding Corp.
INNV Healthcare Medical Care Facilities
InnovAge Holding Corp.’s revenue for fiscal 2026 (year ended June 2026) was $989.7 million, up 15.9% from fiscal 2025. In the quarter to June 2026, revenue grew 18.3%, EPS grew 700.0%, free cash flow grew 85.4% and total debt fell 16.3%, each against the same quarter a year earlier. Revenue growth for three consecutive years.
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A Balance Sheet is a financial statement that provides a snapshot of a company's assets, liabilities, and shareholders' equity at a specific point in time. It follows the formula: Assets = Liabilities + Shareholders' Equity. Key components include current and non-current assets, current and long-term liabilities, and equity. The Balance Sheet helps businesses and investors evaluate financial stability, liquidity, and capital structure. It's essential for assessing the company's ability to meet its obligations and fund future operations.
| Jun '26 | Jun '25 | Jun '24 | Jun '23 | Jun '22 | Jun '21 | Jun '20 | Jun '19 | |
|---|---|---|---|---|---|---|---|---|
Cash and Short Term Investments |
141.34 | 105.92 | 102.79 | 173.48 | 184.45 | 203.70 | 114.57 | 61.20 |
Receivables |
45.67 | 39.68 | 51.43 | 24.61 | 42.67 | 37.98 | 48.06 | 55.01 |
Other current assets |
— | 6.04 | — | 17.15 | 13.84 | 9.25 | 4.31 | 3.25 |
Total current assets |
214.31 | 176.11 | 173.14 | 215.23 | 240.96 | 250.93 | 166.93 | 119.45 |
Property, Plant, Equpment (Net) |
166.09 | 168.04 | 193.02 | 192.19 | 176.26 | 142.72 | 102.49 | 101.19 |
Long-Term Investments |
— | — | 2.65 | 5.49 | 5.49 | 3.49 | 15.89 | 15.43 |
Goodwill and Intangible Assets (Total) |
145.26 | 145.92 | 144.49 | 129.42 | 130.08 | 130.74 | 121.32 | 123.11 |
Long-term assets (Other) |
10.32 | 9.88 | 5.95 | 3.82 | 2.81 | 3.88 | 3.00 | 4.07 |
Total non-current assets |
343.08 | 350.74 | 374.52 | 352.13 | 314.64 | 280.82 | 242.70 | 243.78 |
Total Assets |
557.39 | 526.85 | 547.66 | 567.36 | 555.60 | 531.75 | 409.63 | 363.23 |
Accounts Payable |
115.36 | 76.75 | 55.46 | 54.94 | 50.56 | 32.36 | 28.88 | 30.35 |
Current Part of Debt |
2.54 | 2.25 | 3.80 | 3.80 | 3.79 | 3.79 | 1.94 | 1.94 |
Current Part of Capital Lease |
6.28 | 5.23 | 4.60 | 4.72 | 3.37 | 2.08 | 1.50 | 1.69 |
Current Part of Taxes to Pay |
— | — | — | 1.21 | — | — | — | — |
Current Revenue (Deferred) |
— | — | — | 28.12 | — | — | — | — |
Other current liabilities |
75.13 | 75.89 | 70.60 | 52.14 | 47.58 | 40.34 | 44.32 | 49.48 |
Total current liabilities |
203.89 | 164.81 | 138.60 | 148.45 | 105.31 | 78.57 | 76.63 | 83.46 |
Long Term Debt (Total) |
53.77 | 65.00 | 74.22 | 77.96 | 77.65 | 76.76 | 214.52 | 191.15 |
Long Term Tax Liability (Deferred) |
9.05 | 8.76 | 7.46 | 6.24 | 17.76 | 15.70 | 9.28 | 6.11 |
Minority Interests |
30.01 | 25.01 | 22.20 | 12.71 | 15.28 | 16.99 | — | — |
Non-current Liabilities (Other) |
2.13 | 1.46 | 1.30 | 1.09 | 1.13 | 2.76 | 1.45 | 1.08 |
Total non-current liabilities |
114.74 | 124.15 | 131.45 | 116.82 | 111.82 | 112.21 | 225.25 | 198.33 |
Total liabilities |
318.63 | 288.95 | 270.05 | 265.27 | 217.13 | 190.77 | 301.88 | 281.79 |
Additional Paid In Capital |
348.72 | 343.38 | 337.62 | 332.11 | 327.50 | 323.76 | 36.34 | 35.80 |
Common Stock (Net) |
0.14 | 0.14 | 0.14 | 0.14 | 0.14 | 0.14 | 0.13 | 0.13 |
Retained Earnings |
(105.76) | (101.05) | (68.31) | (35.94) | 4.73 | 10.66 | 64.74 | 38.46 |
Treasury Stock |
7.50 | 7.50 | 0.18 | — | — | — | 0.19 | 0.19 |
Common Equity (Total) |
238.76 | 237.90 | 277.61 | 302.09 | 338.47 | 340.98 | 107.75 | 81.44 |
Shareholders Equity (Total) |
238.76 | 237.90 | 277.61 | 302.09 | 338.47 | 340.98 | 107.75 | 81.44 |
Shareholders Equity and Liabilities (Total) |
557.39 | 526.85 | 547.66 | 567.36 | 555.60 | 531.75 | 409.63 | 363.23 |
Shares (Common) |
136.02 | 135.44 | 136.12 | 135.64 | 135.53 | 135.52 | 132.62 | 132.62 |
Shareholders Equity (Tangible) |
93.50 | 91.98 | 133.12 | 172.68 | 208.39 | 210.24 | (13.57) | (41.66) |
Net Debt |
(85.03) | (38.67) | (24.78) | (91.72) | (103.00) | (123.15) | 101.90 | 131.89 |
Total Debt |
56.31 | 67.25 | 78.02 | 81.75 | 81.44 | 80.55 | 216.46 | 193.08 |