Recent Annual Filings for ANF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $3,299,887,000 $4,948,587,000 $4,179,910,000 $570,833,000 $710,376,000 $-534,877,000 $-129,290,000
2024 $2,974,233,000 $4,280,677,000 $3,796,378,000 $336,972,000 $653,422,000 $-111,201,000 $382,116,000
2023 $2,713,100,000 $3,697,751,000 $3,630,735,000 $-12,436,000 $-2,343,000 $-155,329,000 $-306,799,000
2022 $2,939,491,000 $3,712,768,000 $3,707,168,000 $257,667,000 $277,782,000 $-446,898,000 $-289,789,000
2021 $3,314,902,000 $3,125,384,000 $3,119,784,000 $-102,375,000 $404,918,000 $69,717,000 $431,893,000
2020 $3,549,665,000 $3,623,073,000 $3,617,473,000 $38,526,000 $300,685,000 $-147,873,000 $-53,565,000
2019 $2,385,593,000 $3,590,109,000 $3,586,709,000 $71,410,000 $352,933,000 $-131,691,000 $47,874,000
2018 $2,325,692,000 $3,492,690,000 $3,489,290,000 $36,773,000 $285,704,000 $-74,813,000 $128,369,000