Recent Annual Filings for DFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $147,640,000,000 $2,797,000,000 $-3,277,000,000 $4,464,000,000 $8,425,000,000 $-7,903,000,000 $-3,229,000,000
2023 $151,522,000,000 $17,845,000,000 $14,019,000,000 $3,054,000,000 $8,563,000,000 $15,759,000,000 $2,831,000,000
2022 $131,628,000,000 $12,864,000,000 $7,122,000,000 $4,147,000,000 $7,140,000,000 $16,062,000,000 $-2,435,000,000
2021 $110,242,000,000 $10,651,000,000 $3,587,000,000 $5,310,000,000 $6,019,000,000 $-8,316,000,000 $-2,257,000,000
2020 $112,889,000,000 $11,095,000,000 $9,660,000,000 $1,305,000,000 $6,196,000,000 $-1,085,000,000 $6,625,000,000
2019 $113,996,000,000 $11,993,000,000 $8,158,000,000 $2,994,000,000 $6,196,000,000 $897,000,000 $-8,181,000,000
2018 $109,553,000,000 $10,893,000,000 $7,296,000,000 $2,767,000,000 $5,191,000,000 $7,146,000,000 $1,758,000,000
2017 $100,087,000,000 $9,648,000,000 $6,111,000,000 $2,108,000,000 $5,208,000,000 $4,961,000,000 $1,392,000,000