Recent Annual Filings for CROX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,812,153,000 $4,102,108,000 $3,191,523,000 $913,194,000 $992,486,000 $-886,048,000 $30,581,000
2023 $4,643,834,000 $3,962,347,000 $3,086,075,000 $800,289,000 $930,444,000 $-859,639,000 $-41,788,000
2022 $4,501,797,000 $3,554,985,000 $2,836,477,000 $513,506,000 $603,142,000 $1,529,659,000 $-22,040,000
2021 $1,545,068,000 $2,313,416,000 $1,649,567,000 $705,210,000 $567,165,000 $-429,638,000 $77,652,000
2020 $1,118,723,000 $1,385,951,000 $1,178,972,000 $314,886,000 $266,902,000 $-198,038,000 $27,228,000
2019 $738,802,000 $1,230,593,000 $1,111,271,000 $115,770,000 $89,958,000 $-68,638,000 $-15,485,000
2018 $468,901,000 $1,088,205,000 $1,023,048,000 $39,179,000 $114,162,000 $-148,802,000 $-49,525,000
2017 $543,695,000 $1,023,513,000 $1,005,333,000 $22,440,000 $98,264,000 $-65,370,000 $24,563,000