Recent Annual Filings for DVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,285,268,000 $12,815,550,000 $10,725,067,000 $992,025,000 $2,022,038,000 $-816,937,000 $433,672,000
2023 $16,893,578,000 $12,140,147,000 $10,537,363,000 $974,080,000 $2,059,031,000 $-1,170,495,000 $116,736,000
2022 $16,928,252,000 $11,609,894,000 $10,270,832,000 $851,704,000 $1,564,570,000 $-1,121,128,000 $-186,905,000
2021 $17,121,488,000 $11,618,797,000 $9,821,427,000 $1,138,669,000 $1,930,876,000 $-1,082,966,000 $63,177,000
2020 $16,988,516,000 $11,550,604,000 $9,855,968,000 $976,021,000 $1,979,028,000 $-1,846,777,000 $-693,120,000
2019 $17,311,394,000 $11,388,479,000 $9,745,162,000 $1,008,720,000 $2,072,355,000 $-4,696,450,000 $371,245,000
2018 $19,110,252,000 $11,404,851,000 $9,879,027,000 $293,249,000 $1,771,640,000 $-625,354,000 $140,643,000
2017 $18,948,193,000 $10,876,634,000 $9,063,879,000 $933,431,000 $1,907,449,000 $-766,257,000 $-225,285,000