Recent Annual Filings for DOV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $11,348,513,000 $8,438,134,000 $7,168,128,000 $1,085,185,000 $1,336,345,000 $-568,056,000 $41,659,000
2022 $10,896,519,000 $8,508,088,000 $7,220,583,000 $953,205,000 $805,724,000 $-260,265,000 $-4,636,000
2021 $10,403,627,000 $7,907,081,000 $6,506,255,000 $1,123,020,000 $1,115,865,000 $-249,880,000 $-127,571,000
2020 $9,152,074,000 $6,683,760,000 $5,842,026,000 $746,223,000 $1,104,810,000 $-506,290,000 $115,822,000
2019 $8,669,477,000 $7,136,397,000 $6,293,388,000 $704,988,000 $945,306,000 $-558,042,000 $1,032,000
2018 $8,365,771,000 $6,992,118,000 $6,266,740,000 $501,858,000 $798,635,000 $-897,838,000 $-357,743,000
2017 $10,657,653,000 $7,830,436,000 $6,856,593,000 $976,232,000 $821,559,000 $-594,739,000 $404,818,000
2016 $10,115,991,000 $6,794,342,000 $6,105,010,000 $404,139,000 $861,975,000 $633,608,000 $-13,039,000