Recent Annual Filings for NHI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,614,371,000 $335,181,000 $198,542,000 $136,639,000 $207,768,000 $-13,568,000 $1,885,000
2023 $2,488,480,000 $319,835,000 $185,454,000 $134,381,000 $184,450,000 $-169,719,000 $3,101,000
2022 $2,507,424,000 $278,194,000 $212,693,000 $65,501,000 $185,340,000 $-401,254,000 $-17,969,000
2021 $2,838,876,000 $298,715,000 $186,748,000 $119,116,000 $210,859,000 $-402,994,000 $-6,858,000
2020 $3,120,489,000 $332,811,000 $147,500,000 $181,594,000 $232,148,000 $-111,762,000 $30,674,000
2019 $3,042,235,000 $318,081,000 $156,809,000 $155,718,000 $240,955,000 $107,323,000 $5,757,000
2018 $2,750,570,000 $294,612,000 $139,541,000 $156,219,000 $207,869,000 $44,258,000 $1,837,000
2017 $2,545,821,000 $278,659,000 $127,168,000 $152,812,000 $197,325,000 $-35,052,000 $-1,573,000