Recent Annual Filings for DHR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $77,542,000,000 $23,875,000,000 $19,229,000,000 $2,429,000,000 $6,688,000,000 $-8,385,000,000 $-3,786,000,000
2023 $84,488,000,000 $23,890,000,000 $18,846,000,000 $4,914,000,000 $7,164,000,000 $-273,000,000 $-131,000,000
2022 $84,350,000,000 $31,471,000,000 $23,179,000,000 $5,364,000,000 $8,519,000,000 $-2,570,000,000 $3,409,000,000
2021 $83,184,000,000 $29,453,000,000 $21,855,000,000 $5,774,000,000 $8,358,000,000 $1,295,000,000 $-3,449,000,000
2020 $76,161,000,000 $22,284,000,000 $17,789,000,000 $6,346,000,000 $6,208,000,000 $1,006,000,000 $-13,877,000,000
2019 $62,081,600,000 $17,911,100,000 $14,605,800,000 $2,731,000,000 $3,951,600,000 $16,365,900,000 $19,124,500,000
2018 $47,832,500,000 $19,893,000,000 $16,600,200,000 $2,005,200,000 $4,022,000,000 $-797,400,000 $157,500,000
2017 $46,648,600,000 $18,329,700,000 $15,390,900,000 $3,519,600,000 $3,477,800,000 $-3,098,500,000 $-333,400,000