Recent Annual Filings for EVRI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,123,870,000 $807,821,000 $628,537,000 $84,727,000 $292,230,000 $-110,941,000 $-22,557,000
2022 $1,918,243,000 $782,519,000 $569,167,000 $117,747,000 $272,641,000 $-100,568,000 $-8,663,000
2021 $1,635,650,000 $660,385,000 $462,874,000 $152,661,000 $391,630,000 $-188,359,000 $51,377,000
2020 $1,477,179,000 $383,674,000 $389,089,000 $-82,052,000 $36,179,000 $15,066,000 $-44,261,000
2019 $1,629,223,000 $533,227,000 $439,210,000 $17,696,000 $84,890,000 $77,613,000 $-2,571,000
2018 $1,548,261,000 $469,515,000 $383,702,000 $10,611,000 $294,286,000 $11,000 $169,577,000
2017 $1,537,074,000 $974,948,000 $893,129,000 $-50,047,000 $95,828,000 $22,394,000 $9,535,000
2016 $1,408,163,000 $859,456,000 $978,011,000 $-251,906,000 $131,711,000 $-24,922,000 $17,021,000