Recent Annual Filings for CLH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,377,278,000 $5,889,952,000 $5,356,509,000 $364,003,000 $777,771,000 $377,032,000 $242,494,000
2023 $6,382,869,000 $5,409,152,000 $4,905,873,000 $369,698,000 $734,552,000 $-208,891,000 $-47,905,000
2022 $6,129,707,000 $5,166,605,000 $4,628,607,000 $440,575,000 $626,214,000 $-187,315,000 $40,028,000
2021 $5,653,699,000 $3,805,566,000 $3,535,851,000 $218,712,000 $545,997,000 $898,249,000 $-66,526,000
2020 $4,131,520,000 $3,144,097,000 $2,969,547,000 $133,411,000 $430,597,000 $-88,946,000 $147,110,000
2019 $4,108,904,000 $3,412,190,000 $3,263,951,000 $111,060,000 $413,192,000 $-53,425,000 $145,484,000
2018 $3,738,321,000 $3,300,303,000 $3,205,821,000 $14,672,000 $373,210,000 $-110,997,000 $-92,892,000
2017 $3,706,570,000 $2,944,978,000 $2,886,289,000 $142,658,000 $285,698,000 $-72,760,000 $12,402,000