Recent Annual Filings for DOCN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,639,015,000 $780,615,000 $682,916,000 $83,447,000 $282,725,000 $-76,446,000 $111,210,000
2023 $1,460,967,000 $692,884,000 $666,108,000 $21,005,000 $234,942,000 $-468,903,000 $167,176,000
2022 $1,815,908,000 $576,322,000 $600,729,000 $-25,957,000 $195,152,000 $-610,363,000 $-1,563,618,000
2021 $2,100,995,000 $428,561,000 $446,762,000 $-19,632,000 $133,114,000 $1,593,379,000 $1,612,888,000