Recent Annual Filings for COTY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,082,500,000 $6,118,000,000 $5,913,500,000 $-23,300,000 $614,600,000 $-336,700,000 $36,800,000
2023 $12,661,600,000 $5,554,100,000 $4,849,300,000 $579,100,000 $625,700,000 $-469,300,000 $20,000,000
2022 $12,116,100,000 $5,304,400,000 $4,877,600,000 $-129,200,000 $726,600,000 $-1,034,000,000 $-46,600,000
2021 $13,691,400,000 $4,629,900,000 $4,869,700,000 $-70,900,000 $318,700,000 $-2,795,100,000 $-41,600,000
2020 $16,728,800,000 $4,717,800,000 $6,185,400,000 $-1,400,000,000 $-50,900,000 $877,300,000 $-28,400,000
2019 $17,665,400,000 $8,648,500,000 $12,426,600,000 $-3,987,100,000 $639,600,000 $-160,300,000 $18,200,000
2018 $22,630,200,000 $9,398,000,000 $9,550,500,000 $20,600,000 $413,700,000 $69,300,000 $-208,500,000
2017 $22,548,200,000 $7,650,300,000 $8,308,300,000 $-154,500,000 $757,500,000 $595,200,000 $198,300,000