Recent Annual Filings for UHS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,469,749,000 $15,827,935,000 $14,329,999,000 $1,161,021,000 $2,067,101,000 $-1,144,877,000 $11,115,000
2023 $13,967,602,000 $14,281,976,000 $13,341,550,000 $738,264,000 $1,267,797,000 $-493,945,000 $10,577,000
2022 $13,494,188,000 $13,399,370,000 $12,533,110,000 $617,023,000 $996,023,000 $-318,400,000 $30,327,000
2021 $13,093,543,000 $12,642,117,000 $11,348,804,000 $969,803,000 $883,695,000 $-1,068,950,000 $-1,099,721,000
2020 $13,476,879,000 $11,558,897,000 $10,306,814,000 $969,017,000 $2,360,169,000 $-384,859,000 $1,172,748,000
2019 $11,668,250,000 $11,378,259,000 $10,311,922,000 $855,194,000 $1,438,469,000 $-845,036,000 $-94,977,000
2018 $11,265,480,000 $10,772,278,000 $9,737,753,000 $793,397,000 $1,340,893,000 $-492,202,000 $35,293,000
2017 $10,761,828,000 $10,409,865,000 $9,274,856,000 $803,906,000 $1,182,581,000 $-519,153,000 $40,676,000