Recent Annual Filings for EHTH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,113,345,000 $452,871,000 $481,945,000 $-28,223,000 $-6,692,000 $-6,224,000 $-28,828,000
2022 $1,112,611,000 $405,356,000 $508,069,000 $-89,185,000 $-26,869,000 $63,838,000 $62,475,000
2021 $1,149,292,000 $538,199,000 $663,844,000 $-104,335,000 $-162,622,000 $213,241,000 $38,052,000
2020 $1,040,022,000 $582,774,000 $529,451,000 $45,684,000 $-107,860,000 $201,249,000 $20,293,000
2019 $741,634,000 $506,201,000 $424,792,000 $66,876,000 $-71,492,000 $102,141,000 $13,731,000
2018 $439,278,000 $251,395,000 $248,844,000 $166,000 $-3,230,000 $1,860,000 $-27,204,000
2017 $88,690,000 $172,355,000 $201,849,000 $-25,387,000 $-15,541,000 $-870,000 $-21,488,000
2016 $108,899,000 $186,960,000 $192,815,000 $-4,899,000 $4,083,000 $-1,269,000 $-929,000