Recent Annual Filings for DV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,015,860,000 $716,720,000 $655,163,000 $58,526,000 $15,292,000 $-22,852,000 $-59,274,000
2023 $1,243,031,000 $572,543,000 $476,666,000 $74,989,000 $119,741,000 $6,489,000 $42,319,000
2022 $1,037,028,000 $452,418,000 $393,050,000 $37,713,000 $94,862,000 $-7,884,000 $46,213,000
2021 $892,194,000 $332,741,000 $306,920,000 $27,526,000 $82,749,000 $264,395,000 $188,330,000
2017 $432,500,000 $264,873,000 $250,664,000 $12,553,000 $-10,499,000 $3,470,000 $-44,383,000
2016 $410,393,000 $264,098,000 $256,030,000 $8,966,000 $551,000 $-3,096,000 $-19,123,000
2015 $397,467,000 $259,398,000 $257,505,000 $2,895,000 $39,413,000 $848,000 $16,441,000
2014 $384,954,000 $251,703,000 $236,807,000 $13,718,000 $28,863,000 $7,194,000 $51,637,000