SBC Medical Group Holdings (SBC) Beginning Cash Balance (2023 - 2025)
SBC Medical Group Holdings filings provide 3 years of Beginning Cash Balance readings, the most recent being $99135.0 for Q4 2025.
- On a quarterly basis, Beginning Cash Balance fell 85.29% to $99135.0 in Q4 2025 year-over-year; TTM through Dec 2025 was $145917.0, a 80.27% decrease, with the full-year FY2025 number at $145917.0, down 80.27% from a year prior.
- Beginning Cash Balance hit $99135.0 in Q4 2025 for SBC Medical Group Holdings, up from $18839.0 in the prior quarter.
- In the past five years, Beginning Cash Balance ranged from a high of $674109.0 in Q4 2024 to a low of $9873.0 in Q1 2024.
- Median Beginning Cash Balance over the past 3 years was $18839.0 (2025), compared with a mean of $108119.1.
- Biggest five-year swings in Beginning Cash Balance: soared 668.29% in 2024 and later plummeted 85.29% in 2025.
- SBC Medical Group Holdings' Beginning Cash Balance stood at $87741.0 in 2023, then soared by 668.29% to $674109.0 in 2024, then plummeted by 85.29% to $99135.0 in 2025.
- The last three reported values for Beginning Cash Balance were $99135.0 (Q4 2025), $18839.0 (Q3 2025), and $11890.0 (Q2 2025) per Business Quant data.