Recent Annual Filings for DTST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,280,215 $25,371,303 $24,819,200 $489,858 $1,740,089 $-352,957 $-356,042
2023 $23,301,019 $24,959,576 $24,660,260 $299,316 $3,873,047 $-878,794 $-857,992
2022 $24,086,235 $23,870,837 $28,279,700 $-4,408,863 $663,801 $-1,374,657 $-9,849,081
2021 $26,334,823 $14,876,227 $15,015,937 $259,921 $-360,690 $18,021,005 $11,242,205