Recent Annual Filings for ZEUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,044,496,000 $1,941,672,000 $1,893,813,000 $23,129,000 $33,679,000 $74,435,000 $-1,312,000
2023 $984,835,000 $2,158,163,000 $2,080,492,000 $43,259,000 $175,159,000 $16,719,000 $1,035,000
2022 $891,627,000 $2,559,990,000 $2,426,243,000 $94,238,000 $185,853,000 $-166,915,000 $2,377,000
2021 $1,023,572,000 $2,312,253,000 $2,139,787,000 $123,271,000 $-146,374,000 $164,117,000 $4,279,000
2020 $640,605,000 $1,234,144,000 $1,233,571,000 $-7,529,000 $61,652,000 $-33,712,000 $-209,000
2019 $649,555,000 $1,579,040,000 $1,562,430,000 $1,575,000 $129,558,000 $-112,106,000 $-3,577,000
2018 $760,740,000 $1,715,081,000 $1,658,029,000 $33,759,000 $-50,501,000 $104,307,000 $6,310,000
2017 $604,158,000 $1,330,696,000 $1,306,710,000 $18,963,000 $-19,041,000 $28,904,000 $694,000