Recent Annual Filings for ZD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,704,334,000 $1,401,688,000 $1,308,494,000 $52,196,000 $390,315,000 $-320,994,000 $-231,732,000
2023 $3,471,022,000 $1,364,028,000 $1,289,054,000 $55,256,000 $319,962,000 $-114,791,000 $84,819,000
2022 $3,533,270,000 $1,390,997,000 $1,259,844,000 $35,606,000 $336,444,000 $-140,832,000 $-42,049,000
2021 $3,770,280,000 $1,416,722,000 $1,065,371,000 $494,298,000 $516,536,000 $-113,088,000 $452,190,000