Recent Annual Filings for OHI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,897,891,000 $1,051,390,000 $630,644,000 $411,033,000 $749,430,000 $26,319,000 $104,005,000
2023 $9,117,402,000 $949,740,000 $694,107,000 $258,082,000 $617,736,000 $-473,310,000 $144,086,000
2022 $9,405,163,000 $878,244,000 $442,103,000 $462,020,000 $625,727,000 $-789,447,000 $276,233,000
2021 $9,638,478,000 $1,062,809,000 $646,729,000 $439,149,000 $722,136,000 $-341,117,000 $-143,147,000
2020 $9,497,449,000 $892,381,000 $730,054,000 $191,394,000 $708,256,000 $-485,548,000 $134,178,000
2019 $9,796,124,000 $928,830,000 $584,986,000 $353,698,000 $553,747,000 $-153,959,000 $21,709,000
2018 $8,590,877,000 $881,682,000 $585,169,000 $281,883,000 $499,373,000 $-410,701,000 $-85,137,000
2017 $8,773,305,000 $908,385,000 $802,464,000 $129,638,000 $577,912,000 $-303,815,000 $-10,468,000