Recent Annual Filings for ECPG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,789,729,000 $1,316,361,000 $1,412,576,000 $-177,454,000 $156,168,000 $317,774,000 $41,501,000
2023 $4,630,486,000 $1,222,680,000 $1,402,944,000 $-231,596,000 $152,991,000 $268,300,000 $14,452,000
2022 $4,508,360,000 $1,398,347,000 $1,087,358,000 $149,296,000 $210,681,000 $-107,445,000 $-45,733,000
2021 $4,608,125,000 $1,614,499,000 $1,177,958,000 $366,466,000 $303,053,000 $-655,692,000 $461,000
2020 $4,864,523,000 $1,501,400,000 $1,218,502,000 $232,484,000 $312,864,000 $-403,200,000 $-3,151,000
2019 $4,909,950,000 $1,405,789,000 $1,204,547,000 $191,624,000 $244,733,000 $-19,770,000 $34,917,000
2018 $4,631,875,000 $1,320,557,000 $1,164,069,000 $70,557,000 $186,791,000 $166,377,000 $-44,348,000
2017 $4,490,712,000 $1,187,038,000 $1,055,812,000 $108,382,000 $123,818,000 $378,217,000 $49,904,000