Recent Annual Filings for XPRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,333,541,000 $1,712,802,000 $1,618,636,000 $44,070,000 $169,479,000 $29,572,000 $33,908,000
2023 $2,013,007,000 $1,512,764,000 $1,501,961,000 $-28,591,000 $138,309,000 $-49,339,000 $-65,294,000
2022 $1,937,152,000 $1,279,418,000 $1,276,955,000 $-12,954,000 $80,169,000 $-25,612,000 $-21,387,000
2021 $1,854,638,000 $825,762,000 $953,330,000 $-110,039,000 $16,144,000 $-7,176,000 $119,138,000