Recent Annual Filings for DNLI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,153,917,000 $330,531,000 $527,230,000 $-137,695,000 $-357,991,000 $17,820,000 $-90,863,000
2022 $1,460,242,000 $108,463,000 $449,207,000 $-330,378,000 $-244,716,000 $310,670,000 $-75,433,000
2021 $1,404,162,000 $48,661,000 $344,412,000 $-292,835,000 $-211,389,000 $19,348,000 $-213,667,000
2020 $1,604,280,000 $335,659,000 $272,941,000 $70,541,000 $416,152,000 $634,749,000 $427,695,000
2019 $553,231,000 $26,678,000 $239,862,000 $-196,615,000 $-151,576,000 $6,190,000 $2,326,000
2018 $661,984,000 $129,160,000 $175,532,000 $-36,521,000 $50,116,000 $97,019,000 $-140,287,000