SBC Medical Group Holdings (SBC) Beginning Cash Balance (2023 - 2025)
SBC Medical Group Holdings (SBC) has disclosed Beginning Cash Balance for 3 consecutive years, with $18839.0 as the latest value for Q3 2025.
- For the quarter ending Q3 2025, Beginning Cash Balance rose 24.1% year-over-year to $18839.0, compared with a TTM value of $720891.0 through Sep 2025, up 371.03%, and an annual FY2024 reading of $739414.0, down 90.41% over the prior year.
- Beginning Cash Balance was $18839.0 for Q3 2025 at SBC Medical Group Holdings, up from $11890.0 in the prior quarter.
- Across five years, Beginning Cash Balance topped out at $674109.0 in Q4 2024 and bottomed at $9873.0 in Q1 2024.
- Average Beginning Cash Balance over 3 years is $109242.1, with a median of $17446.0 recorded in 2025.
- The sharpest move saw Beginning Cash Balance surged 668.29% in 2024, then crashed 70.46% in 2025.
- Year by year, Beginning Cash Balance stood at $87741.0 in 2023, then soared by 668.29% to $674109.0 in 2024, then tumbled by 97.21% to $18839.0 in 2025.
- Business Quant data shows Beginning Cash Balance for SBC at $18839.0 in Q3 2025, $11890.0 in Q2 2025, and $16053.0 in Q1 2025.