Recent Annual Filings for EZPW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,493,237,000 $1,161,602,000 $1,045,994,000 $63,650,000 $113,600,000 $-50,183,000 $-49,161,000
2023 $1,467,711,000 $1,049,041,000 $997,408,000 $62,030,000 $101,834,000 $23,692,000 $14,599,000
2022 $1,347,878,000 $886,225,000 $818,512,000 $52,906,000 $66,535,000 $-2,832,000 $-49,255,000
2021 $1,266,911,000 $729,551,000 $713,489,000 $18,265,000 $46,438,000 $-16,253,000 $-48,929,000
2020 $1,197,023,000 $822,811,000 $892,906,000 $-84,141,000 $49,078,000 $-6,253,000 $150,111,000
2019 $1,083,702,000 $847,229,000 $843,055,000 $-8,731,000 $103,517,000 $-198,317,000 $-123,136,000
2018 $1,246,920,000 $813,515,000 $756,439,000 $35,383,000 $88,724,000 $167,588,000 $121,622,000
2017 $1,024,363,000 $747,954,000 $704,715,000 $35,909,000 $51,836,000 $53,351,000 $98,656,000