Recent Annual Filings for ADP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $54,362,700,000 $19,202,600,000 $14,617,000,000 $4,249,500,000 $4,157,600,000 $-1,431,700,000 $1,314,500,000
2023 $50,971,000,000 $18,012,200,000 $13,758,100,000 $3,099,900,000 $4,207,600,000 $-15,680,700,000 $-14,011,500,000
2022 $63,068,200,000 $16,498,300,000 $12,777,000,000 $944,600,000 $3,099,500,000 $13,653,400,000 $9,639,800,000
2021 $48,772,500,000 $15,005,400,000 $11,740,500,000 $2,623,900,000 $3,093,300,000 $6,437,500,000 $6,089,600,000
2020 $39,165,500,000 $14,589,800,000 $11,555,200,000 $2,709,000,000 $3,026,200,000 $-5,890,600,000 $257,400,000
2019 $41,887,700,000 $14,175,200,000 $11,280,700,000 $2,715,300,000 $2,688,300,000 $-207,700,000 $254,100,000
2018 $37,088,700,000 $13,325,800,000 $10,916,800,000 $1,361,500,000 $2,515,200,000 $-1,655,900,000 $-1,639,500,000
2017 $37,180,000,000 $12,379,800,000 $10,133,000,000 $1,569,300,000 $2,125,900,000 $-8,281,700,000 $-410,700,000