Recent Annual Filings for DIT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $374,107,310 $2,710,981,108 $2,703,518,619 $4,336,489 $67,872,351 $-25,881,799 $-118,143
2023 $363,429,200 $2,539,994,999 $2,522,692,606 $11,596,393 $19,722,218 $46,911,979 $359,355
2022 $289,124,527 $2,010,798,385 $1,989,322,881 $16,672,257 $22,890,076 $-8,621,250 $-88,015
2021 $188,411,129 $1,672,378,581 $1,655,690,294 $15,545,265 $20,935,640 $-19,607,090 $-141,604
2020 $188,001,273 $1,521,278,763 $1,513,776,752 $5,542,590 $15,203,048 $-1,566,584 $323,491
2019 $157,711,622 $1,392,388,157 $1,387,576,214 $3,202,943 $-11,453,657 $15,651,797 $-182,940
2018 $139,954,154 $1,322,306,658 $1,317,528,048 $3,614,610 $5,895,456 $-2,677,570 $-2,421
2017 $131,804,887 $1,274,984,408 $1,269,545,832 $2,949,576 $-13,761,822 $16,198,552 $-82,315