Recent Annual Filings for ACHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,358,841,000 $2,928,738,000 $2,954,098,000 $-15,661,000 $462,340,000 $-62,697,000 $2,424,000
2022 $4,987,901,000 $2,610,399,000 $2,236,256,000 $280,033,000 $380,569,000 $-110,903,000 $-36,164,000
2021 $4,768,078,000 $2,314,394,000 $2,038,634,000 $566,927,000 $374,477,000 $-1,641,061,000 $-248,951,000
2020 $6,499,362,000 $2,089,929,000 $1,906,132,000 $-625,680,000 $658,807,000 $-51,499,000 $325,469,000
2019 $6,879,142,000 $3,107,462,000 $2,971,474,000 $157,615,000 $332,904,000 $-61,627,000 $70,136,000
2018 $6,172,504,000 $3,012,442,000 $3,181,396,000 $-263,745,000 $414,080,000 $-67,330,000 $-16,780,000
2017 $6,424,502,000 $2,877,234,000 $2,640,436,000 $375,041,000 $399,577,000 $-60,074,000 $10,227,000
2016 $6,024,726,000 $2,852,823,000 $2,819,868,000 $-440,747,000 $361,478,000 $358,841,000 $45,848,000