Recent Annual Filings for DAKT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $527,884,000 $818,083,000 $764,032,000 $33,625,000 $63,241,000 $15,122,000 $56,988,000
2023 $468,104,000 $754,196,000 $740,939,000 $6,198,000 $15,024,000 $17,568,000 $6,682,000
2022 $440,876,000 $610,970,000 $609,862,000 $-1,998,000 $-27,035,000 $-3,576,000 $-62,394,000
2021 $375,164,000 $482,033,000 $467,973,000 $13,868,000 $66,212,000 $-15,585,000 $39,990,000
2020 $372,651,000 $608,932,000 $608,941,000 $-430,000 $10,808,000 $-1,978,000 $4,670,000
2019 $349,216,000 $569,704,000 $574,648,000 $-2,600,000 $29,546,000 $-11,932,000 $5,987,000
2018 $358,800,000 $610,530,000 $598,101,000 $7,229,000 $30,361,000 $-13,262,000 $-3,084,000
2017 $355,433,000 $586,539,000 $570,951,000 $8,859,000 $39,389,000 $-16,323,000 $4,295,000