Recent Annual Filings for IEX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,745,300,000 $3,268,800,000 $2,629,500,000 $419,500,000 $668,100,000 $465,900,000 $104,600,000
2023 $5,865,200,000 $3,273,900,000 $2,513,600,000 $676,000,000 $716,700,000 $-344,700,000 $104,100,000
2022 $5,511,900,000 $3,181,900,000 $2,432,500,000 $530,100,000 $557,400,000 $-37,800,000 $-425,200,000
2021 $4,917,200,000 $2,764,800,000 $2,185,000,000 $393,200,000 $565,300,000 $-9,500,000 $-170,500,000
2020 $4,414,398,000 $2,351,646,000 $1,881,306,000 $491,598,000 $569,273,000 $-42,602,000 $393,270,000
2019 $3,813,912,000 $2,494,573,000 $1,961,670,000 $427,401,000 $528,062,000 $-227,585,000 $166,174,000
2018 $3,473,857,000 $2,483,666,000 $1,954,727,000 $377,290,000 $479,345,000 $-290,011,000 $90,457,000
2017 $3,399,628,000 $2,287,312,000 $1,832,039,000 $449,403,000 $432,753,000 $-277,421,000 $139,986,000