Recent Annual Filings for DNB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,755,700,000 $2,381,700,000 $2,186,900,000 $-72,600,000 $436,900,000 $-187,900,000 $18,200,000
2023 $9,135,900,000 $2,314,000,000 $2,173,700,000 $-62,300,000 $452,200,000 $-282,400,000 $-20,300,000
2022 $9,471,900,000 $2,224,600,000 $2,074,700,000 $-123,700,000 $537,100,000 $-281,100,000 $31,300,000
2021 $9,997,200,000 $2,165,600,000 $2,020,000,000 $-26,300,000 $503,700,000 $400,100,000 $-175,200,000
2020 $9,219,400,000 $1,738,100,000 $1,957,400,000 $-185,900,000 $195,600,000 $189,300,000 $255,900,000
2017 $2,480,900,000 $1,742,500,000 $1,359,600,000 $229,100,000 $286,500,000 $-18,800,000 $89,800,000
2016 $2,209,200,000 $1,703,700,000 $1,344,500,000 $117,700,000 $322,700,000 $-224,900,000 $-13,100,000
2015 $2,273,600,000 $1,637,100,000 $1,300,100,000 $129,000,000 $343,200,000 $110,700,000 $46,300,000