Recent Annual Filings for DHI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $36,104,300,000 $36,801,400,000 $30,516,700,000 $4,806,000,000 $2,189,800,000 $-1,355,300,000 $643,900,000
2023 $32,582,400,000 $35,460,400,000 $29,145,700,000 $4,795,200,000 $4,304,100,000 $-2,666,700,000 $1,327,200,000
2022 $30,351,100,000 $33,480,000,000 $25,850,300,000 $5,895,600,000 $561,800,000 $-811,200,000 $-664,300,000
2021 $24,015,900,000 $27,774,200,000 $22,417,900,000 $4,191,200,000 $534,400,000 $-85,100,000 $197,100,000
2020 $18,912,300,000 $20,311,100,000 $17,328,100,000 $2,380,500,000 $1,421,600,000 $270,600,000 $1,526,100,000
2019 $15,606,600,000 $17,592,900,000 $15,467,600,000 $1,618,600,000 $892,100,000 $-490,100,000 $8,000,000
2018 $14,114,600,000 $16,068,000,000 $14,008,000,000 $1,462,300,000 $545,200,000 $-82,500,000 $465,300,000
2017 $12,184,600,000 $14,091,000,000 $12,488,900,000 $1,038,400,000 $435,100,000 $-559,500,000 $-295,400,000