Recent Annual Filings for XHR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,831,616,000 $1,039,047,000 $952,212,000 $15,306,000 $163,720,000 $-134,967,000 $-79,493,000
2023 $2,902,227,000 $1,025,443,000 $927,831,000 $22,404,000 $198,065,000 $-222,148,000 $-142,835,000
2022 $3,080,055,000 $997,607,000 $886,215,000 $62,162,000 $187,129,000 $-110,057,000 $-188,321,000
2021 $3,087,316,000 $616,188,000 $677,072,000 $-136,027,000 $40,763,000 $108,892,000 $125,445,000
2020 $3,079,603,000 $369,776,000 $611,470,000 $-177,050,000 $-77,722,000 $57,374,000 $233,840,000
2019 $3,263,006,000 $1,149,087,000 $1,037,606,000 $39,332,000 $246,570,000 $9,656,000 $33,338,000
2018 $3,170,087,000 $1,058,207,000 $926,383,000 $200,650,000 $254,194,000 $-173,188,000 $31,204,000
2017 $3,115,308,000 $945,277,000 $841,772,000 $106,600,000 $212,814,000 $118,121,000 $-156,623,000