Recent Annual Filings for DFH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,328,651,000 $4,451,606,000 $4,013,752,000 $340,582,000 $-256,648,000 $269,689,000 $-208,631,000
2023 $2,562,439,000 $3,748,586,000 $3,344,161,000 $307,942,000 $374,234,000 $-216,424,000 $153,326,000
2022 $2,371,137,000 $3,342,335,000 $2,986,179,000 $274,297,000 $-27,623,000 $146,955,000 $113,808,000
2021 $1,894,247,623 $1,923,909,806 $1,761,861,346 $134,593,818 $65,108,989 $645,882,386 $187,948,526