Recent Annual Filings for EFX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,759,400,000 $5,681,100,000 $4,639,000,000 $286,500,000 $1,324,500,000 $-846,400,000 $-46,900,000
2023 $12,280,000,000 $5,265,200,000 $4,331,600,000 $593,700,000 $1,116,800,000 $-306,200,000 $-68,400,000
2022 $11,547,900,000 $5,122,200,000 $4,066,200,000 $521,100,000 $757,100,000 $273,700,000 $60,500,000
2021 $11,040,900,000 $4,923,900,000 $3,785,900,000 $623,900,000 $1,334,800,000 $617,700,000 $-1,459,900,000
2020 $9,611,800,000 $4,127,500,000 $3,450,900,000 $710,400,000 $946,200,000 $810,800,000 $1,283,300,000
2019 $7,909,000,000 $3,507,600,000 $3,843,000,000 $-398,600,000 $313,800,000 $557,900,000 $177,700,000
2018 $7,153,200,000 $3,412,100,000 $2,964,100,000 $97,800,000 $672,200,000 $-311,000,000 $-112,800,000
2017 $7,233,400,000 $3,362,200,000 $2,537,600,000 $768,200,000 $816,000,000 $-263,700,000 $207,100,000