Recent Annual Filings for CASY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,347,433,000 $14,862,913,000 $2,288,513,000 $501,972,000 $892,953,000 $-239,984,000 $-172,387,000
2023 $5,943,270,000 $15,094,475,000 $2,119,942,000 $446,691,000 $881,951,000 $-116,926,000 $219,991,000
2022 $5,505,730,000 $12,952,594,000 $1,961,473,000 $339,790,000 $788,741,000 $191,587,000 $-177,667,000
2021 $4,460,314,000 $8,707,189,000 $1,637,191,000 $312,900,000 $804,088,000 $-101,478,000 $258,270,000
2020 $3,943,892,000 $9,175,296,000 $1,498,043,000 $263,846,000 $504,314,000 $-22,693,000 $14,979,000
2019 $3,731,376,000 $9,352,910,000 $9,089,508,000 $203,886,000 $530,614,000 $-63,167,000 $9,617,000
2018 $3,469,927,000 $8,391,124,000 $8,176,687,000 $317,903,000 $419,797,000 $166,500,000 $-23,038,000
2017 $3,020,102,000 $7,506,587,000 $7,236,919,000 $177,485,000 $459,273,000 $-3,606,000 $942,000