Recent Annual Filings for CPRI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,689,000,000 $5,170,000,000 $5,453,000,000 $-215,000,000 $309,000,000 $-208,000,000 $-34,000,000
2023 $7,295,000,000 $5,619,000,000 $4,971,000,000 $572,000,000 $771,000,000 $-776,000,000 $178,000,000
2022 $7,480,000,000 $5,654,000,000 $4,739,000,000 $960,000,000 $704,000,000 $-800,000,000 $-38,000,000
2021 $7,481,000,000 $4,060,000,000 $4,057,000,000 $-82,000,000 $624,000,000 $-870,000,000 $-370,000,000
2020 $7,946,000,000 $5,551,000,000 $5,766,000,000 $-84,000,000 $859,000,000 $-497,000,000 $424,000,000
2019 $6,650,000,000 $5,238,000,000 $4,617,000,000 $425,000,000 $694,000,000 $1,451,000,000 $20,000,000