Recent Annual Filings for ICFI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,011,772,000 $1,963,238,000 $1,866,691,000 $78,860,000 $152,383,000 $-152,588,000 $-3,878,000
2022 $2,092,258,000 $1,779,964,000 $1,695,984,000 $67,145,000 $162,206,000 $90,371,000 $-6,267,000
2021 $1,849,534,000 $1,553,048,000 $1,452,958,000 $74,203,000 $110,205,000 $23,233,000 $-61,043,000
2020 $1,667,290,000 $1,506,875,000 $1,432,202,000 $52,997,000 $173,145,000 $169,955,000 $72,152,000
2019 $1,397,217,000 $1,478,525,000 $1,388,352,000 $69,345,000 $91,440,000 $-67,640,000 $-6,670,000
2018 $1,213,862,000 $1,337,973,000 $1,255,146,000 $54,717,000 $74,670,000 $-28,771,000 $-10,488,000
2017 $1,110,255,000 $1,229,162,000 $1,155,176,000 $67,477,000 $117,191,000 $-87,300,000 $16,381,000
2016 $1,085,571,000 $1,185,097,000 $1,110,590,000 $44,435,000 $79,563,000 $-66,974,000 $-1,705,000