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BASIS OF PRESENTATION (Tables)
9 Months Ended
Sep. 30, 2025
Organization, Consolidation and Presentation of Financial Statements [Abstract]  
Schedule of Changes in the Carrying Amount of Goodwill
The following tables provide information on changes in the carrying amount of goodwill for each of our segments:
Nine Months Ended
September 30,
 20252024
Hospital Operations:  
Goodwill at beginning of period, net of accumulated impairment losses$2,697 $3,119 
Goodwill acquired during the year, net of purchase price allocation adjustments— 42 
Goodwill related to assets held for sale and disposed— (464)
Goodwill at end of period, net of accumulated impairment losses2,697 2,697 
Ambulatory Care:
Goodwill at beginning of period7,994 7,188 
Goodwill acquired during the year, net of purchase price allocation adjustments467 824 
Goodwill related to assets held for sale and disposed or deconsolidated facilities— (121)
Goodwill at end of period8,461 7,891 
Total Goodwill, net of accumulated impairment losses$11,158 $10,588 
Schedule of Other Intangible Assets
The following tables present information regarding other intangible assets, which were included in the accompanying Condensed Consolidated Balance Sheets:
Gross
Carrying Amount
Accumulated
Amortization

Net Book Value
At September 30, 2025:
Other intangible assets with finite useful lives:
Capitalized software costs$1,479 $(1,136)$343 
Contracts241 (144)97 
Other99 (77)22 
Other intangible assets with finite lives1,819 (1,357)462 
Other intangible assets with indefinite useful lives:
Trade names105 — 105 
Contracts777 — 777 
Other— 
Other intangible assets with indefinite lives886 — 886 
Total other intangible assets, net$2,705 $(1,357)$1,348 
At December 31, 2024:
Other intangible assets with finite useful lives:
Capitalized software costs$1,469 $(1,075)$394 
Contracts241 (135)106 
Other96 (78)18 
Other intangible assets with finite lives1,806 (1,288)518 
Other intangible assets with indefinite useful lives:
Trade names105 — 105 
Contracts769 — 769 
Other— 
Other intangible assets with indefinite lives879 — 879 
Total other intangible assets, net$2,685 $(1,288)$1,397 
Schedule of Indefinite-Lived Intangible Assets
The following tables present information regarding other intangible assets, which were included in the accompanying Condensed Consolidated Balance Sheets:
Gross
Carrying Amount
Accumulated
Amortization

Net Book Value
At September 30, 2025:
Other intangible assets with finite useful lives:
Capitalized software costs$1,479 $(1,136)$343 
Contracts241 (144)97 
Other99 (77)22 
Other intangible assets with finite lives1,819 (1,357)462 
Other intangible assets with indefinite useful lives:
Trade names105 — 105 
Contracts777 — 777 
Other— 
Other intangible assets with indefinite lives886 — 886 
Total other intangible assets, net$2,705 $(1,357)$1,348 
At December 31, 2024:
Other intangible assets with finite useful lives:
Capitalized software costs$1,469 $(1,075)$394 
Contracts241 (135)106 
Other96 (78)18 
Other intangible assets with finite lives1,806 (1,288)518 
Other intangible assets with indefinite useful lives:
Trade names105 — 105 
Contracts769 — 769 
Other— 
Other intangible assets with indefinite lives879 — 879 
Total other intangible assets, net$2,685 $(1,288)$1,397 
Schedule of Estimated Future Amortization of Intangibles with Finite Useful Lives
The table below presents our estimated future amortization of intangible assets with finite useful lives at September 30, 2025:
Three
Months
 Ending

Years Ending


Later Years
December 31,
 Total20252026202720282029
Amortization of intangible assets$462 $50 $106 $92 $71 $51 $92 
Schedule of Other Current Assets
The table below presents the principal components of other current assets in the accompanying Condensed Consolidated Balance Sheets:
 September 30, 2025December 31, 2024
Prepaid expenses$373 $368 
Contract assets178 190 
California provider fee program receivables482 334 
Receivables from other government programs318 326 
Guarantees141 194 
Non-patient receivables282 229 
Other115 119 
Total other current assets$1,889 $1,760 
Schedule of Equity Method Investments
Summarized financial information for equity method investees is included in the following table. For investments acquired during the reported periods, amounts in the table include 100% of the investee’s results beginning on the date of our acquisition of the investment.
 Three Months Ended
September 30,
Nine Months Ended
September 30,
 2025202420252024
Net operating revenues$924 $845 $2,700 $2,573 
Net income$247 $212 $692 $677 
Net income available to the investees$133 $112 $382 $388