Recent Annual Filings for CHCT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $992,563,000 $115,786,000 $84,670,000 $-1,967,000 $58,881,000 $33,533,000 $-249,000
2023 $945,412,000 $112,845,000 $87,744,000 $1,464,000 $61,383,000 $44,857,000 $-7,435,000
2022 $876,425,000 $97,679,000 $63,812,000 $49,666,000 $60,280,000 $62,693,000 $9,201,000
2021 $754,233,000 $90,579,000 $57,672,000 $29,358,000 $56,348,000 $48,054,000 $-25,000
2020 $668,402,000 $75,684,000 $47,760,000 $12,039,000 $48,370,000 $77,561,000 $869,000
2019 $562,531,000 $60,849,000 $42,179,000 $2,935,000 $32,362,000 $120,447,000 $-369,000
2018 $426,570,000 $48,630,000 $35,190,000 $4,778,000 $24,441,000 $29,329,000 $262,000
2017 $385,766,000 $37,343,000 $29,956,000 $3,768,000 $22,127,000 $125,989,000 $562,000