Recent Annual Filings for CHE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,668,575,000 $2,431,287,000 $2,064,794,000 $301,999,000 $417,497,000 $-359,194,000 $-85,608,000
2023 $1,668,095,000 $2,264,417,000 $1,923,848,000 $272,509,000 $330,299,000 $-79,825,000 $189,832,000
2022 $1,442,012,000 $2,134,963,000 $1,791,467,000 $249,624,000 $309,886,000 $-209,253,000 $41,231,000
2021 $1,342,723,000 $2,139,261,000 $1,796,223,000 $268,550,000 $308,597,000 $-380,620,000 $-129,780,000
2020 $1,434,911,000 $2,079,583,000 $1,689,903,000 $319,466,000 $489,289,000 $-271,212,000 $156,517,000
2019 $1,268,317,000 $1,938,555,000 $1,681,175,000 $219,923,000 $301,249,000 $-109,162,000 $1,327,000
2018 $975,529,000 $1,782,648,000 $1,539,016,000 $205,544,000 $287,138,000 $-188,203,000 $-6,290,000
2017 $920,026,000 $1,666,724,000 $1,553,689,000 $98,177,000 $162,495,000 $-99,076,000 $-4,189,000