Recent Annual Filings for DCOM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,353,258,000 $16,725,000 $-34,714,000 $75,645,000 $99,056,000 $662,843,000 $826,024,000
2023 $13,636,005,000 $16,437,000 $-120,442,000 $98,894,000 $90,874,000 $411,422,000 $288,250,000
2022 $13,189,921,000 $16,206,000 $-195,709,000 $64,358,000 $295,172,000 $812,594,000 $-224,425,000
2021 $12,066,364,000 $15,998,000 $-132,168,000 $103,739,000 $146,327,000 $-1,099,029,000 $150,119,000
2019 $6,354,460,000 $5,805,000 $-41,057,000 $36,746,000 $68,491,000 $-49,894,000 $8,232,000
2018 $6,320,578,000 $4,642,000 $-62,073,000 $48,550,000 $64,305,000 $-134,837,000 $-22,199,000
2017 $6,403,460,000 $212,096,000 $123,358,000 $54,893,000 $43,262,000 $345,033,000 $55,952,000
2016 $6,005,430,000 $195,627,000 $62,156,000 $75,376,000 $20,059,000 $882,942,000 $49,349,000