Recent Annual Filings for ENOV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,718,777,000 $2,107,623,000 $2,930,547,000 $-927,997,000 $113,504,000 $846,821,000 $4,852,000
2023 $4,509,334,000 $1,707,197,000 $1,774,325,000 $-4,119,000 $134,988,000 $127,797,000 $20,318,000
2022 $4,273,248,000 $1,563,101,000 $1,565,170,000 $-51,273,000 $-55,861,000 $-465,127,000 $-697,376,000