Recent Annual Filings for ETWO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $2,371,035,000 $607,688,000 $1,332,310,000 $-742,785,000 $99,137,000 $-12,991,000 $60,945,000
2024 $3,141,655,000 $634,554,000 $1,902,009,000 $-1,163,311,000 $84,871,000 $-14,020,000 $41,599,000
2023 $4,400,175,000 $652,215,000 $1,622,793,000 $-769,786,000 $68,098,000 $90,435,000 $-70,196,000
2022 $5,405,455,000 $425,561,000 $645,525,000 $-211,321,000 $51,154,000 $710,708,000 $-46,646,000
2021 $3,838,177,000 $330,012,000 $372,378,000 $-32,695,000 $14,455,000 $625,981,000 $159,171,000