SNF COST REPORT · CCN 455906 · FY 2022
STEPHENVILLE REHAB & WELLNESS CENTER
STEPHENVILLE, TX 76401 · Fiscal year ending 2022-08-31
122 bedsSNF
$80K
TOTAL REVENUE
−$926K
OPERATING INCOME
-1158.5%
OPERATING MARGIN
122
TOTAL BEDS
249
DISCHARGES
01 — FINANCIAL
Financial summary
- Net patient revenue
- $80K
- Total costs
- $1.0M
- Operating income (rev − costs)
- −$926K
- Operating margin
- -1158.5%
- Total charges
- $2.3M
02 — UTILIZATION
Utilization
- Total beds
- 122
- Total inpatient days
- 25,578
- Medicare days (Title XVIII)
- 3,735
- Medicaid days (Title XIX)
- 14,593
- Total discharges
- 249