Recent Annual Filings for EXPO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $777,270,000 $558,514,000 $411,144,000 $108,188,000 $144,537,000 $-65,108,000 $71,751,000
2023 $646,777,000 $536,766,000 $400,870,000 $100,949,000 $127,352,000 $-86,009,000 $25,692,000
2022 $586,662,000 $513,293,000 $381,059,000 $100,726,000 $93,807,000 $-215,977,000 $-136,229,000
2021 $683,739,000 $466,269,000 $340,432,000 $101,151,000 $124,568,000 $-62,753,000 $100,162,000
2019 $563,411,000 $417,199,000 $313,009,000 $83,553,000 $108,059,000 $-63,414,000 $49,377,000
2018 $468,936,000 $379,523,000 $286,206,000 $71,430,000 $91,188,000 $-62,500,000 $2,265,000
2017 $439,589,000 $347,799,000 $265,290,000 $42,402,000 $67,838,000 $-41,261,000 $9,827,000
2016 $403,744,000 $315,076,000 $245,954,000 $46,159,000 $66,946,000 $-49,166,000 $-10,784,000