Recent Annual Filings for EPC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,730,900,000 $2,253,700,000 $2,132,800,000 $113,800,000 $231,000,000 $-179,400,000 $-7,300,000
2023 $3,740,700,000 $2,251,600,000 $2,103,900,000 $160,800,000 $216,100,000 $-146,500,000 $27,700,000
2022 $3,713,100,000 $2,171,700,000 $2,048,700,000 $19,400,000 $102,000,000 $-17,600,000 $-290,500,000
2021 $3,674,600,000 $2,087,300,000 $1,941,300,000 $171,700,000 $229,000,000 $-65,400,000 $114,500,000
2020 $3,540,900,000 $1,949,700,000 $1,862,400,000 $111,900,000 $232,600,000 $-18,700,000 $23,100,000
2019 $3,420,900,000 $2,141,000,000 $2,531,300,000 $-459,800,000 $190,600,000 $-63,800,000 $75,200,000
2018 $3,953,300,000 $2,234,400,000 $2,070,600,000 $86,400,000 $264,700,000 $-375,200,000 $-236,500,000
2017 $4,188,800,000 $2,298,400,000 $2,351,300,000 $71,500,000 $296,200,000 $-460,600,000 $-236,000,000