Recent Annual Filings for EEFT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,834,500,000 $3,989,800,000 $3,540,900,000 $188,500,000 $732,800,000 $-135,700,000 $241,200,000
2023 $5,894,400,000 $3,688,000,000 $3,287,600,000 $327,400,000 $643,100,000 $-143,200,000 $256,200,000
2022 $5,403,633,000 $3,358,741,000 $3,036,146,000 $152,367,000 $748,290,000 $-1,154,000 $-95,242,000
2021 $4,744,276,000 $2,995,443,000 $2,859,768,000 $-7,879,000 $406,576,000 $-212,236,000 $-13,406,000
2020 $4,926,711,000 $2,482,700,000 $2,436,078,000 $67,490,000 $253,505,000 $35,398,000 $282,129,000
2019 $4,657,666,000 $2,750,109,000 $2,274,915,000 $332,801,000 $504,488,000 $416,298,000 $686,427,000
2018 $3,321,155,000 $2,536,629,000 $2,178,715,000 $175,475,000 $397,233,000 $2,024,000 $230,434,000
2017 $3,140,029,000 $2,252,422,000 $1,986,425,000 $273,341,000 $291,318,000 $-161,149,000 $84,730,000