Recent Annual Filings for DE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $107,320,000,000 $51,716,000,000 $42,510,000,000 $6,497,000,000 $9,231,000,000 $-2,717,000,000 $13,000,000
2023 $104,087,000,000 $61,251,000,000 $48,232,000,000 $10,097,000,000 $8,589,000,000 $2,808,000,000 $2,679,000,000
2022 $90,030,000,000 $52,577,000,000 $43,450,000,000 $6,613,000,000 $4,699,000,000 $826,000,000 $-3,184,000,000
2021 $84,114,000,000 $44,024,000,000 $36,422,000,000 $8,965,000,000 $7,726,000,000 $-1,078,000,000 $953,000,000
2020 $75,091,000,000 $35,540,000,000 $31,657,000,000 $2,821,000,000 $7,483,000,000 $-980,000,000 $3,216,000,000
2019 $73,011,000,000 $39,258,000,000 $35,170,000,000 $2,085,000,000 $3,412,000,000 $509,000,000 $-59,000,000
2018 $70,108,000,000 $37,357,700,000 $33,287,000,000 $3,223,400,000 $1,820,300,000 $876,400,000 $-5,430,900,000
2017 $65,786,300,000 $29,737,700,000 $26,583,900,000 $3,221,700,000 $2,199,800,000 $4,286,500,000 $4,999,100,000