Recent Annual Filings for HCA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $56,211,000,000 $64,968,000,000 $57,262,000,000 $6,156,000,000 $9,431,000,000 $-4,094,000,000 $27,000,000
2022 $52,438,000,000 $60,233,000,000 $51,653,000,000 $6,748,000,000 $8,522,000,000 $-5,656,000,000 $-543,000,000
2021 $50,742,000,000 $58,752,000,000 $48,919,000,000 $7,819,000,000 $8,959,000,000 $-6,655,000,000 $-342,000,000
2020 $47,490,000,000 $51,533,000,000 $46,103,000,000 $4,345,000,000 $9,232,000,000 $-4,677,000,000 $1,172,000,000
2019 $45,058,000,000 $51,336,000,000 $46,092,000,000 $4,066,000,000 $7,602,000,000 $-1,771,000,000 $119,000,000
2018 $39,207,000,000 $46,677,000,000 $41,342,000,000 $4,381,000,000 $6,761,000,000 $-3,075,000,000 $-230,000,000
2017 $36,593,000,000 $43,614,000,000 $39,233,000,000 $2,803,000,000 $5,426,000,000 $-1,061,000,000 $86,000,000
2016 $33,758,000,000 $41,490,000,000 $36,680,000,000 $3,359,000,000 $5,653,000,000 $-2,508,000,000 $-95,000,000