Recent Annual Filings for USPH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $997,238,000 $604,802,000 $483,293,000 $35,998,000 $81,978,000 $84,268,000 $121,231,000
2022 $858,154,000 $553,144,000 $441,120,000 $47,411,000 $58,537,000 $25,759,000 $3,027,000
2021 $749,426,000 $495,022,000 $377,840,000 $57,924,000 $76,406,000 $43,379,000 $-4,351,000
2020 $594,361,000 $422,969,000 $328,519,000 $52,491,000 $99,995,000 $-39,422,000 $9,370,000
2019 $560,845,000 $481,969,000 $369,495,000 $57,259,000 $62,448,000 $-24,275,000 $180,000
2018 $443,166,000 $453,911,000 $352,248,000 $48,842,000 $73,005,000 $-47,661,000 $1,435,000
2017 $418,982,000 $414,051,000 $323,434,000 $27,724,000 $56,526,000 $-11,065,000 $1,886,000
2016 $351,231,000 $356,546,000 $274,534,000 $26,268,000 $51,050,000 $-14,289,000 $4,269,000