Recent Annual Filings for ENSG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,669,356,000 $4,260,485,000 $3,902,181,000 $298,458,000 $347,186,000 $-2,162,000 $-45,028,000
2023 $4,177,541,000 $3,729,355,000 $3,473,988,000 $209,850,000 $376,666,000 $-612,000 $193,356,000
2022 $3,452,022,000 $3,025,468,000 $2,728,643,000 $224,652,000 $272,513,000 $-32,262,000 $54,069,000
2021 $2,850,623,000 $2,627,461,000 $2,366,996,000 $197,725,000 $275,684,000 $-76,138,000 $25,639,000
2020 $2,545,578,000 $2,402,596,000 $2,179,441,000 $171,364,000 $373,351,000 $-137,298,000 $177,387,000
2019 $2,361,909,000 $2,036,524,000 $1,907,344,000 $111,686,000 $192,223,000 $82,884,000 $28,092,000
2018 $1,181,958,000 $2,040,659,000 $1,912,171,000 $92,528,000 $210,302,000 $-70,345,000 $-11,254,000
2017 $1,102,433,000 $1,849,317,000 $1,768,032,000 $40,833,000 $72,952,000 $18,272,000 $-15,369,000