Recent Annual Filings for EVTC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,060,263,000 $694,709,000 $558,549,000 $114,417,000 $224,290,000 $403,270,000 $119,628,000
2022 $1,131,743,000 $618,409,000 $461,009,000 $270,646,000 $223,361,000 $-156,768,000 $-66,731,000
2021 $1,144,756,000 $589,796,000 $393,282,000 $161,261,000 $228,420,000 $-81,285,000 $63,315,000
2020 $1,072,579,000 $510,588,000 $369,196,000 $86,191,000 $199,089,000 $-62,617,000 $87,838,000
2019 $1,011,676,000 $487,374,000 $342,872,000 $97,249,000 $179,949,000 $-70,227,000 $44,375,000
2018 $927,292,000 $453,869,000 $328,741,000 $73,329,000 $172,734,000 $-105,055,000 $26,379,000
2017 $902,788,000 $407,144,000 $321,061,000 $56,597,000 $145,786,000 $-69,183,000 $-1,497,000
2016 $885,662,000 $389,507,000 $282,362,000 $70,227,000 $168,054,000 $-90,798,000 $23,173,000