Recent Annual Filings for AHCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,486,947,000 $3,260,975,000 $2,997,243,000 $92,677,000 $541,839,000 $-198,949,000 $32,615,000
2023 $4,508,650,000 $3,200,177,000 $3,798,578,000 $-679,117,000 $480,666,000 $-92,528,000 $30,860,000
2022 $5,219,587,000 $2,970,595,000 $2,780,184,000 $84,180,000 $373,867,000 $-66,051,000 $-103,355,000
2021 $5,250,484,000 $2,454,535,000 $2,239,525,000 $163,929,000 $275,679,000 $1,598,739,000 $49,665,000
2020 $1,813,472,000 $1,056,389,000 $999,320,000 $-69,385,000 $195,634,000 $643,153,000 $23,084,000
2019 $546,121,693 $529,644,247 $499,947,418 $-10,348,276 $60,417,846 $76,144,580 $51,692,453