Recent Annual Filings for DCGO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $455,621,132 $616,555,132 $445,213,216 $19,729,107 $70,337,070 $-24,154,838 $35,119,321
2023 $490,451,957 $624,288,642 $607,995,349 $7,602,154 $-64,221,878 $1,118,687 $-91,891,088
2022 $393,277,628 $440,515,746 $417,733,854 $35,358,205 $28,869,901 $-6,179,818 $-15,757,888
2021 $309,602,652 $318,718,580 $298,923,395 $23,759,796 $-1,947,420 $155,206,476 $144,648,457