Recent Annual Filings for DXPE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,349,494,000 $1,802,040,000 $1,717,068,000 $68,119,000 $102,211,000 $56,803,000 $-24,800,000
2023 $1,177,436,000 $1,678,600,000 $1,591,669,000 $69,247,000 $106,222,000 $43,579,000 $127,094,000
2022 $1,037,280,000 $1,480,832,000 $1,414,931,000 $45,709,000 $5,894,000 $44,312,000 $-2,963,000
2021 $906,192,000 $1,113,921,000 $1,094,739,000 $16,447,000 $37,089,000 $-38,493,000 $-70,339,000
2020 $851,861,000 $1,005,266,000 $1,052,781,000 $-30,962,000 $107,675,000 $77,406,000 $63,117,000
2019 $788,220,000 $1,267,000,000 $1,220,331,000 $35,088,000 $41,307,000 $-6,092,000 $13,806,000
2018 $699,962,000 $1,216,197,000 $1,167,491,000 $35,745,000 $35,840,000 $-2,921,000 $14,940,000
2017 $639,083,000 $1,006,782,000 $989,890,000 $15,312,000 $12,544,000 $14,188,000 $23,989,000