Financial Highlights

  Dollar amounts in thousands
FINANCIAL POSITION (as at March 31st) 2026    2025 
 
  Assets
    Current assets $ $146,826   $ 139,415
    Long-term investments & investments held for capital purposes $ $37,718   $ 47,149
    Capital assets, net of accumulated amortization $ $325,704   $ 289,447
    Total assets $ $510,248   $ 476,011
 
  Liabilities and Net Assets
    Current & long term liabilities $ 429,207
$ 415,846
    Deferred capital grants, net of amortization $ 183,090
  $ 145,233
    Total liabilities $ 612,297
  $ 561,079
    Accumulated remeasurement losses $ 5,470   $ 4,129
    Net assets $ (107,519)   $ (89,197)
    Total liabilities and net assets $ 510,248   $ 476,011
 
REVENUE AND EXPENSE (for the year ended March 31st) 2026      2025 
 
  Revenue
    Provincial programs $ 638,920
  $ 611,098
    Other fees and revenue $ 132,135
  $ 119,780
    Total revenue $ 771,055
  $ 730,878
  Expenses
    Compensation & benefits $ 425,181
  $ 415,890
    Supplies & other expenses $ 364,196
  $ 353,459
    Total expense $ 789,377
  $ 769,349
  Surplus (deficit) for the year $ (18,322)   $ (38,471)
 
  Ministry of Health and Long-Term Care - Total Margin $ (9,731)   $ (30,467)
   
CASH FLOWS (for the year ended March 31st) 2026      2025 
 
  Cash Flows (Used In) From:
    Cash flows from operations & changes in operating balances $ 28,959
  $ 6,686
    Additions to capital assets $ (66,989)
  $ (35,967)
    Cash flows from grants, investing & financing activities $ 37,684   $ 1,085
  (Decrease) Increase in Cash for the Year  $ (346)   $ (28,196)
  Cash Surplus, Beginning of Year $ 31,176
  $ 107,486
  Cash Surplus, End of Year $ 30,830
  $ 79,290
   
PATIENT SERVICE VOLUMES (for the year ended March 31st) 2026      2025 
 
  Acute patients separated (discharged)   33,311
    32,122
  Patient Days   227,192
    223,375
  Births   3,741
    3,707
  Day Surgery & Endoscopy cases   33,451
    34,712
  Emergency Department visits   96,559     94,733