Recent Annual Filings for DDD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $608,846,000 $440,121,000 $690,117,000 $-266,409,000 $-44,887,000 $-91,265,000 $-160,230,000
2023 $990,660,000 $488,069,000 $850,381,000 $-353,381,000 $-80,695,000 $-106,469,000 $-58,864,000
2022 $1,446,613,000 $538,031,000 $658,840,000 $-139,065,000 $-70,021,000 $-13,815,000 $-397,995,000
2021 $1,549,099,000 $615,639,000 $296,099,000 $292,821,000 $48,147,000 $405,800,000 $705,259,000
2020 $733,055,000 $557,240,000 $700,650,000 $-120,462,000 $-20,121,000 $-6,980,000 $-49,906,000
2019 $807,312,000 $629,094,000 $694,194,000 $-68,014,000 $31,581,000 $18,700,000 $23,698,000
2018 $825,832,000 $687,660,000 $730,888,000 $-62,423,000 $4,796,000 $14,264,000 $-25,912,000
2017 $896,764,000 $646,069,000 $703,590,000 $-33,375,000 $25,941,000 $-9,188,000 $-48,603,000