Recent Annual Filings for CTRE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,437,016,000 $296,286,000 $178,067,000 $124,399,000 $244,251,000 $1,188,806,000 $-80,626,000
2023 $2,084,838,000 $217,770,000 $159,781,000 $53,722,000 $154,767,000 $394,318,000 $281,270,000
2022 $1,620,781,000 $196,132,000 $192,767,000 $-7,506,000 $144,415,000 $-23,732,000 $-6,717,000
2021 $1,640,848,000 $192,351,000 $109,465,000 $71,982,000 $156,871,000 $36,738,000 $976,000
2020 $1,503,559,000 $178,332,000 $97,428,000 $80,867,000 $145,735,000 $-105,561,000 $-1,408,000
2019 $1,518,861,000 $163,401,000 $118,819,000 $46,359,000 $126,295,000 $173,247,000 $-16,465,000
2018 $1,291,762,000 $156,941,000 $101,069,000 $57,923,000 $99,357,000 $45,595,000 $29,883,000
2017 $1,184,986,000 $132,982,000 $110,646,000 $25,874,000 $88,800,000 $213,168,000 $-591,000