Recent Annual Filings for CHX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,470,252,000 $3,633,983,000 $3,191,108,000 $283,135,000 $589,681,000 $-150,457,000 $219,124,000
2023 $3,241,702,000 $3,758,285,000 $3,334,461,000 $311,723,000 $540,271,000 $-373,165,000 $38,370,000
2022 $3,387,483,000 $3,805,948,000 $3,609,142,000 $148,658,000 $413,360,000 $-324,805,000 $-4,991,000
2021 $3,534,701,000 $3,074,990,000 $2,922,305,000 $123,370,000 $328,219,000 $-234,347,000 $53,757,000
2020 $3,475,776,000 $1,899,996,000 $2,662,745,000 $-729,071,000 $310,040,000 $-175,366,000 $166,131,000