Recent Annual Filings for NHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,524,429,000 $1,307,382,000 $1,221,622,000 $103,974,000 $107,303,000 $100,344,000 $-29,046,000
2023 $1,310,796,000 $1,141,544,000 $1,084,410,000 $68,216,000 $111,216,000 $-42,545,000 $51,103,000
2022 $1,275,450,000 $1,085,738,000 $1,053,842,000 $8,840,000 $8,742,000 $-47,642,000 $-44,878,000
2021 $1,403,396,000 $1,074,302,000 $1,023,377,000 $135,635,000 $62,394,000 $-35,264,000 $-38,759,000
2020 $1,362,132,000 $1,028,217,000 $980,062,000 $44,487,000 $203,259,000 $-41,889,000 $97,492,000
2019 $1,286,648,000 $996,383,000 $947,345,000 $73,281,000 $100,103,000 $-79,748,000 $6,090,000
2018 $1,080,948,000 $980,349,000 $924,273,000 $56,651,000 $98,435,000 $-77,274,000 $-12,501,000
2017 $1,096,526,000 $966,996,000 $912,886,000 $57,118,000 $94,466,000 $-49,074,000 $35,832,000