Recent Annual Filings for AEO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $3,830,775,000 $5,328,652,000 $4,886,418,000 $289,400,000 $476,798,000 $-301,909,000 $-42,621,000
2024 $3,557,909,000
2023 $3,420,956,000 $4,989,833,000 $4,811,339,000 $133,351,000 $406,296,000 $-407,893,000 $-262,972,000
2022 $3,786,643,000 $5,010,785,000 $4,451,863,000 $419,532,000 $303,671,000 $-125,197,000 $-416,127,000
2021 $3,434,806,000 $3,759,113,000 $4,051,386,000 $-216,854,000 $202,498,000 $359,907,000 $488,460,000
2020 $3,328,679,000 $4,308,212,000 $4,062,934,000 $192,921,000 $415,416,000 $-211,226,000 $29,296,000
2019 $1,903,378,000 $4,035,720,000 $3,690,620,000 $257,865,000 $456,645,000 $-252,503,000 $-78,687,000
2018 $1,816,313,000 $3,795,549,000 $3,508,376,000 $209,830,000 $394,426,000 $-188,772,000 $35,000,000