Recent Annual Filings for EXPD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,754,458,000 $10,600,515,000 $9,559,192,000 $770,339,000 $723,361,000 $-1,025,297,000 $-342,459,000
2023 $4,523,809,000 $9,300,110,000 $8,360,177,000 $762,017,000 $1,053,191,000 $-1,536,565,000 $-522,807,000
2022 $5,590,434,000 $17,071,284,000 $15,246,913,000 $1,287,154,000 $2,129,675,000 $-1,684,540,000 $357,421,000
2021 $7,609,929,000 $16,523,517,000 $14,614,191,000 $1,386,437,000 $868,494,000 $-613,546,000 $200,901,000
2020 $4,927,503,000 $10,116,481,000 $9,176,044,000 $728,973,000 $655,012,000 $-331,537,000 $297,300,000
2019 $3,691,884,000 $8,175,426,000 $7,408,734,000 $565,998,000 $771,935,000 $-418,042,000 $306,756,000
2018 $3,314,559,000 $8,138,365,000 $7,341,802,000 $587,400,000 $572,804,000 $-627,738,000 $-127,364,000
2017 $3,117,008,000 $6,920,948,000 $6,220,688,000 $520,817,000 $488,639,000 $-424,565,000 $76,664,000