Recent Annual Filings for DBD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,543,500,000 $3,751,100,000 $3,703,800,000 $-140,300,000 $149,200,000 $-366,500,000 $-281,000,000
2023 $4,162,000,000 $3,760,500,000 $2,312,200,000 $1,416,700,000 $-257,000,000 $559,500,000 $270,400,000
2022 $3,065,000,000 $3,460,700,000 $3,899,300,000 $-561,200,000 $-387,900,000 $349,800,000 $-70,100,000
2021 $3,507,200,000 $3,905,200,000 $3,955,900,000 $-43,100,000 $123,300,000 $-3,600,000 $64,800,000
2020 $3,657,400,000 $3,902,300,000 $4,171,800,000 $-307,000,000 $18,000,000 $16,900,000 $-50,900,000
2019 $3,790,600,000 $4,408,700,000 $4,637,600,000 $-417,000,000 $135,800,000 $-215,500,000 $-87,600,000
2018 $4,311,900,000 $4,578,600,000 $5,094,200,000 $-677,300,000 $-104,100,000 $10,900,000 $-77,500,000
2017 $5,250,200,000 $4,609,300,000 $4,785,000,000 $-54,600,000 $37,100,000 $-63,700,000 $-117,500,000