Recent Annual Filings for LH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,379,000,000 $13,008,900,000 $11,922,200,000 $544,800,000 $1,585,800,000 $779,900,000 $981,900,000
2023 $16,725,100,000 $12,161,600,000 $11,436,000,000 $615,100,000 $1,327,700,000 $-59,300,000 $106,800,000
2022 $20,155,100,000 $14,876,800,000 $13,102,900,000 $979,300,000 $1,955,900,000 $-1,322,200,000 $-1,042,700,000
2021 $20,385,400,000 $16,120,900,000 $12,861,400,000 $2,349,500,000 $3,109,600,000 $-2,065,800,000 $151,900,000
2020 $20,071,700,000 $13,978,500,000 $11,533,100,000 $1,767,500,000 $2,135,300,000 $-517,400,000 $983,300,000
2019 $18,046,400,000 $11,554,800,000 $10,224,600,000 $915,600,000 $1,444,700,000 $-252,700,000 $-89,300,000
2018 $16,185,300,000 $11,333,400,000 $10,007,700,000 $754,500,000 $1,305,400,000 $-1,389,900,000 $110,200,000
2017 $16,568,000,000 $10,441,400,000 $9,077,200,000 $1,519,400,000 $1,459,400,000 $631,900,000 $-116,900,000