Recent Annual Filings for ASGN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,429,000,000 $4,099,700,000 $3,859,600,000 $170,200,000 $400,000,000 $-333,200,000 $29,300,000
2023 $3,544,600,000 $4,450,600,000 $4,152,900,000 $222,000,000 $456,900,000 $-310,900,000 $105,600,000
2022 $3,585,700,000 $4,581,100,000 $4,217,500,000 $265,700,000 $307,800,000 $-256,500,000 $-459,300,000
2021 $3,502,800,000 $4,009,500,000 $3,696,100,000 $410,600,000 $193,700,000 $-184,400,000 $255,200,000
2020 $3,278,000,000 $3,950,600,000 $3,679,900,000 $206,300,000 $424,800,000 $-29,000,000 $179,200,000
2019 $2,941,400,000 $3,923,900,000 $3,687,100,000 $174,000,000 $313,200,000 $-110,500,000 $53,400,000
2018 $2,687,851,000 $3,399,781,000 $3,195,606,000 $155,003,000 $287,451,000 $507,799,000 $5,159,000
2017 $1,810,129,000 $2,625,924,000 $2,428,831,000 $164,059,000 $196,446,000 $-138,469,000 $9,623,000