Recent Annual Filings for EVCM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,518,064,000 $675,369,000 $672,943,000 $-43,439,000 $104,605,000 $-66,630,000 $355,000
2022 $1,591,728,000 $620,746,000 $651,340,000 $-68,247,000 $64,802,000 $-47,309,000 $-1,735,000
2021 $1,663,373,000 $490,139,000 $517,331,000 $-85,279,000 $37,482,000 $341,183,000 $-779,000