Recent Annual Filings for DAR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,070,473,000 $5,715,175,000 $5,396,040,000 $-198,043,000 $839,289,000 $-399,563,000 $-47,143,000
2023 $11,061,084,000 $6,788,080,000 $6,204,734,000 $842,878,000 $899,263,000 $876,292,000 $114,282,000
2022 $9,202,370,000 $6,532,204,000 $5,875,482,000 $681,834,000 $813,739,000 $1,678,604,000 $81,096,000
2020 $5,613,331,000 $3,571,923,000 $3,456,082,000 $368,628,000 $624,651,000 $-306,986,000 $8,675,000
2019 $5,345,258,000 $3,363,905,000 $3,252,536,000 $303,982,000 $362,621,000 $-54,885,000 $-34,324,000
2018 $4,889,354,000 $3,387,726,000 $3,292,504,000 $15,157,000 $398,615,000 $-47,582,000 $453,000
2017 $4,958,225,000 $3,662,251,000 $3,525,438,000 $259,897,000 $410,587,000 $-154,852,000 $-7,790,000
2016 $4,698,017,000 $3,398,115,000 $3,246,048,000 $101,240,000 $391,036,000 $-183,868,000 $-42,320,000