Recent Annual Filings for DLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,831,036,000 $2,121,761,000 $2,045,264,000 $53,057,000 $194,281,000 $-267,255,000 $-148,880,000
2023 $3,080,622,000 $2,192,260,000 $2,152,461,000 $33,463,000 $198,367,000 $-37,679,000 $120,618,000
2022 $3,076,520,000 $2,238,010,000 $2,153,632,000 $59,758,000 $191,531,000 $-48,601,000 $51,924,000
2021 $3,074,384,000 $2,022,197,000 $1,928,394,000 $72,713,000 $210,821,000 $912,961,000 $56,082,000
2020 $1,874,863,000 $1,790,781,000 $1,760,202,000 $15,413,000 $217,553,000 $-110,555,000 $54,598,000
2019 $1,943,311,000 $2,008,715,000 $2,194,345,000 $-191,265,000 $286,653,000 $-186,794,000 $29,552,000
2018 $2,305,096,000 $1,998,025,000 $1,785,394,000 $137,515,000 $339,315,000 $-39,825,000 $16,440,000
2017 $2,208,827,000 $1,965,556,000 $1,652,729,000 $242,929,000 $338,431,000 $-176,949,000 $-17,334,000