Recent Annual Filings for EPAM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,352,365,000 $4,690,540,000 $4,153,955,000 $473,364,000 $562,634,000 $-165,773,000 $359,472,000
2022 $4,009,151,000 $4,824,698,000 $4,317,440,000 $378,302,000 $464,104,000 $-2,021,000 $234,289,000
2021 $3,523,227,000 $3,758,144,000 $3,224,752,000 $452,957,000 $572,327,000 $-59,557,000 $125,814,000
2020 $2,721,332,000 $2,659,478,000 $2,280,999,000 $333,022,000 $544,407,000 $-765,000 $385,845,000
2019 $2,244,208,000 $2,293,798,000 $1,994,272,000 $271,197,000 $287,453,000 $20,363,000 $165,977,000
2018 $1,611,802,000 $1,842,912,000 $1,593,139,000 $216,365,000 $292,218,000 $23,001,000 $188,856,000
2017 $1,250,256,000 $1,450,448,000 $1,276,143,000 $92,825,000 $195,364,000 $49,746,000 $220,560,000
2016 $925,811,000 $1,160,132,000 $1,033,666,000 $96,728,000 $164,817,000 $10,467,000 $162,576,000