Recent Annual Filings for DX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,184,579,000 $5,877,000 $-108,021,000 $92,217,000 $14,392,000 $1,395,309,000 $383,675,000
2023 $6,369,750,000 $-7,931,000 $-1,801,000 $9,020,000 $62,200,000 $2,685,839,000 $-212,013,000
2022 $3,605,234,000 $43,083,000 $-100,078,000 $-52,608,000 $126,352,000 $-32,342,000 $28,570,000
2021 $3,639,738,000 $54,380,000 $-47,881,000 $17,413,000 $146,970,000 $519,980,000 $111,572,000
2020 $3,087,754,000 $63,853,000 $66,472,000 $173,952,000 $-2,353,151,000 $168,449,000
2019 $5,370,604,000 $56,057,000 $43,950,000 $175,346,000 $1,473,882,000 $45,526,000
2018 $3,886,089,000 $50,477,000 $43,454,000 $-31,860,000 $180,560,000 $690,281,000 $1,504,000
2017 $3,305,778,000 $58,324,000 $24,431,000 $47,011,000 $204,448,000 $-303,570,000 $-11,689,000