Recent Annual Filings for ZS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,704,968,000 $2,167,771,000 $2,197,000,000 $-60,919,000 $779,846,000 $64,208,000 $160,874,000
2023 $3,608,317,000 $1,616,952,000 $1,799,516,000 $-178,061,000 $462,343,000 $45,990,000 $248,996,000
2022 $2,832,665,000 $1,090,946,000 $1,474,576,000 $-415,478,000 $321,912,000 $41,337,000 $737,312,000
2021 $2,257,631,000 $673,100,000 $930,278,000 $-263,142,000 $202,040,000 $41,675,000 $134,047,000
2020 $1,833,458,000 $431,269,000 $543,997,000 $-114,921,000 $79,317,000 $1,022,212,000 $63,367,000
2019 $604,162,000 $302,836,000 $330,748,000 $-28,263,000 $58,027,000 $46,384,000 $-57,663,000
2018 $447,781,000 $190,174,000 $222,483,000 $-33,770,000 $17,307,000 $208,397,000 $47,601,000