Recent Annual Filings for EHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,534,700,000 $5,373,200,000 $4,508,700,000 $596,600,000 $999,700,000 $-330,600,000 $15,800,000
2023 $6,102,400,000 $4,801,200,000 $4,069,400,000 $463,000,000 $834,800,000 $-197,200,000 $34,800,000
2022 $5,636,500,000 $4,348,600,000 $3,718,400,000 $365,900,000 $705,800,000 $-145,700,000 $-66,900,000
2021 $6,864,900,000 $5,121,600,000 $4,315,100,000 $517,200,000 $715,800,000 $-240,100,000 $-190,600,000
2020 $6,445,900,000 $4,644,400,000 $3,999,400,000 $368,800,000 $704,700,000 $-145,900,000 $151,300,000
2019 $6,080,700,000 $4,605,000,000 $3,912,500,000 $445,800,000 $635,300,000 $48,200,000 $26,100,000
2018 $5,175,000,000 $4,277,300,000 $3,647,700,000 $375,400,000 $762,400,000 $-321,200,000 $16,700,000