Recent Annual Filings for EVR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,703,298,000 $2,442,666,000 $2,076,876,000 $286,739,000 $457,954,000 $-557,231,000 $-66,639,000
2022 $3,620,923,000 $2,778,898,000 $2,074,857,000 $513,947,000 $531,376,000 $-735,568,000 $84,830,000
2021 $3,802,657,000 $3,307,085,000 $2,190,486,000 $865,798,000 $1,384,898,000 $-925,321,000 $-250,931,000
2020 $3,370,888,000 $2,285,319,000 $1,744,488,000 $437,884,000 $978,371,000 $-307,793,000 $194,338,000
2019 $2,598,613,000 $2,028,837,000 $1,580,130,000 $357,012,000 $504,697,000 $-290,009,000 $-156,210,000
2018 $2,125,667,000 $2,082,476,000 $1,531,105,000 $441,396,000 $849,574,000 $-452,927,000 $182,711,000
2017 $1,584,886,000 $1,724,345,000 $1,286,696,000 $201,267,000 $516,551,000 $-419,230,000 $51,063,000
2016 $1,662,346,000 $1,456,790,000 $1,188,975,000 $129,218,000 $416,098,000 $-232,487,000 $109,760,000