Recent Annual Filings for EXLS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,618,403,000 $1,838,372,000 $1,577,025,000 $170,615,000 $268,525,000 $-119,101,000 $25,997,000
2023 $1,441,972,000 $1,630,668,000 $1,392,727,000 $201,661,000 $211,198,000 $-181,450,000 $19,780,000
2022 $1,346,119,000 $1,412,044,000 $1,221,945,000 $88,299,000 $166,141,000 $-81,724,000 $-18,189,000
2021 $1,282,904,000 $1,122,293,000 $975,732,000 $100,268,000 $184,387,000 $-146,879,000 $-81,709,000
2020 $1,247,857,000 $958,434,000 $843,105,000 $99,384,000 $202,973,000 $-89,564,000 $98,475,000
2019 $1,183,088,000 $991,346,000 $908,246,000 $66,234,000 $168,420,000 $-93,077,000 $22,913,000
2018 $1,061,936,000 $883,112,000 $822,742,000 $18,969,000 $92,435,000 $197,779,000 $9,854,000
2017 $824,775,000 $762,310,000 $677,276,000 $78,235,000 $113,140,000 $-20,475,000 $-126,360,000