Recent Annual Filings for DRVN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,261,787,000 $2,339,588,000 $2,479,819,000 $-346,193,000 $241,447,000 $-302,837,000 $-6,474,000
2023 $5,910,804,000 $2,304,029,000 $2,990,562,000 $-720,389,000 $235,167,000 $170,699,000 $-45,057,000
2022 $6,499,898,000 $2,033,194,000 $1,833,590,000 $-14,255,000 $197,176,000 $343,368,000 $-302,019,000
2021 $5,857,369,000 $1,467,280,000 $1,290,215,000 $-11,997,000 $283,827,000 $885,536,000 $354,985,000