Recent Annual Filings for EVH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,544,411,000 $2,554,741,000 $2,595,226,000 $-93,950,000 $18,765,000 $-565,000 $-44,961,000
2023 $2,680,308,000 $1,963,896,000 $2,035,107,000 $-142,339,000 $142,582,000 $281,340,000 $8,299,000
2022 $1,817,293,000 $1,352,013,000 $1,348,371,000 $-19,980,000 $-11,553,000 $131,541,000 $-139,784,000
2021 $1,419,458,000 $907,957,000 $937,758,000 $-37,685,000 $38,747,000 $-29,548,000 $-6,639,000
2020 $1,370,185,000 $1,022,433,000 $1,360,232,000 $-334,290,000 $-16,225,000 $-11,862,000 $233,050,000
2019 $1,498,015,000 $846,383,000 $1,173,499,000 $-305,632,000 $-42,645,000 $-35,545,000 $-259,794,000
2018 $1,722,281,000 $627,063,000 $681,214,000 $-54,373,000 $-20,651,000 $274,024,000 $92,962,000
2017 $1,312,697,000 $434,950,000 $511,354,000 $-69,767,000 $-27,958,000 $165,557,000 $125,334,000