Recent Annual Filings for DCI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,914,300,000 $3,586,300,000 $3,051,000,000 $387,600,000 $492,500,000 $-355,900,000 $45,600,000
2023 $2,770,500,000 $3,430,800,000 $2,962,100,000 $391,900,000 $544,500,000 $-222,200,000 $-6,200,000
2022 $2,600,300,000 $3,306,600,000 $2,868,200,000 $245,400,000 $252,800,000 $-114,200,000 $-29,500,000
2021 $2,400,200,000 $2,853,900,000 $2,472,900,000 $352,700,000 $401,900,000 $-363,300,000 $-13,800,000
2020 $2,244,600,000 $2,581,800,000 $2,246,600,000 $265,900,000 $387,000,000 $-199,500,000 $58,800,000
2019 $2,142,600,000 $2,844,900,000 $2,469,700,000 $224,100,000 $345,800,000 $-123,300,000 $-26,900,000
2018 $1,976,600,000 $2,734,200,000 $2,370,600,000 $187,500,000 $262,900,000 $-268,800,000 $-103,700,000
2017 $1,979,700,000 $2,371,900,000 $2,049,900,000 $281,400,000 $310,300,000 $-157,700,000 $65,200,000