Recent Annual Filings for OPCH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,421,743,000 $4,998,202,000 $4,714,603,000 $207,892,000 $323,392,000 $-218,206,000 $68,716,000
2023 $3,217,035,000 $4,302,324,000 $3,943,582,000 $260,909,000 $371,295,000 $-265,126,000 $49,663,000
2022 $3,112,936,000 $3,944,735,000 $3,738,967,000 $172,166,000 $267,547,000 $15,268,000 $174,763,000
2021 $2,790,918,000 $3,438,640,000 $3,322,146,000 $150,619,000 $208,569,000 $-76,870,000 $20,158,000
2020 $2,647,439,000 $3,032,610,000 $2,921,855,000 $-12,053,000 $127,392,000 $-68,849,000 $32,209,000