Recent Annual Filings for DSP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $404,911,000 $222,934,000 $241,230,000 $-9,943,000 $37,752,000 $-14,391,000 $9,885,000
2022 $377,883,000 $197,168,000 $246,428,000 $-48,089,000 $-3,530,000 $-19,551,000 $-31,907,000
2021 $389,131,000 $224,127,000 $266,922,000 $-37,609,000 $28,665,000 $207,558,000 $228,851,000