Recent Annual Filings for DBX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,983,500,000 $2,501,600,000 $1,947,200,000 $481,000,000 $783,700,000 $-799,200,000 $382,100,000
2022 $3,110,100,000 $2,324,900,000 $2,132,200,000 $506,900,000 $797,300,000 $-1,041,800,000 $-300,200,000
2021 $3,091,300,000 $2,157,900,000 $1,858,600,000 $322,300,000 $729,800,000 $16,200,000 $218,100,000
2020 $2,387,200,000 $1,913,900,000 $2,164,100,000 $-248,700,000 $570,800,000 $-577,700,000 $-236,400,000
2019 $2,699,200,000 $1,661,300,000 $1,713,300,000 $-48,200,000 $528,500,000 $-176,700,000 $32,000,000
2018 $1,694,100,000 $1,391,700,000 $1,871,800,000 $-490,300,000 $425,400,000 $300,800,000 $89,300,000