Recent Annual Filings for CHWY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $3,014,527,000 $11,861,335,000 $11,709,642,000 $393,221,000 $596,325,000 $-996,742,000 $-6,467,000
2024 $3,186,851,000 $11,147,720,000 $11,099,490,000 $39,174,000 $486,211,000 $71,598,000 $270,591,000
2023 $2,515,076,000 $10,098,939,000 $10,047,061,000 $49,232,000 $349,572,000 $-6,726,000 $-272,638,000
2022 $2,086,281,000 $8,890,773,000 $8,964,590,000 $-73,817,000 $191,739,000 $41,267,000 $39,734,000
2021 $1,740,910,000 $7,146,264,000 $7,238,750,000 $-92,486,000 $132,755,000 $342,197,000 $351,257,000
2020 $932,321,000 $4,846,743,000 $5,099,113,000 $-252,370,000 $46,581,000 $127,037,000 $123,757,000