Recent Annual Filings for CHEF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,858,691,000 $3,794,212,000 $3,714,680,000 $53,504,000 $153,061,000 $-38,482,000 $64,777,000
2023 $1,705,306,000 $3,433,763,000 $3,378,294,000 $34,943,000 $61,639,000 $9,010,000 $-108,922,000
2022 $1,509,296,000 $2,613,399,000 $2,571,510,000 $27,587,000 $23,134,000 $253,215,000 $43,645,000
2021 $1,073,795,000 $1,745,757,000 $1,752,533,000 $-4,894,000 $-19,899,000 $-9,222,000 $-78,126,000
2020 $974,325,000 $1,111,631,000 $1,235,237,000 $-82,906,000 $42,881,000 $78,056,000 $53,048,000
2019 $1,013,679,000 $1,591,834,000 $1,559,431,000 $24,366,000 $45,007,000 $96,947,000 $97,823,000
2018 $732,398,000 $1,444,609,000 $1,416,765,000 $19,730,000 $45,082,000 $-10,442,000 $906,000
2017 $687,749,000 $1,301,520,000 $1,283,112,000 $15,003,000 $31,497,000 $19,429,000 $8,642,000