Recent Annual Filings for DECK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,135,579,000 $4,287,763,000 $3,360,249,000 $747,865,000 $1,033,184,000 $-417,675,000 $520,256,000
2023 $2,556,203,000 $3,627,286,000 $2,974,535,000 $502,742,000 $537,422,000 $-309,031,000 $138,268,000
2022 $2,332,250,000 $3,150,339,000 $2,585,632,000 $443,737,000 $172,353,000 $-367,482,000 $-245,834,000
2021 $2,167,705,000 $2,545,641,000 $2,041,436,000 $391,391,000 $596,217,000 $-129,581,000 $439,925,000
2020 $1,765,118,000 $2,132,689,000 $1,794,554,000 $273,237,000 $286,334,000 $-192,114,000 $59,744,000
2019 $1,427,206,000 $2,020,437,000 $1,693,117,000 $254,637,000 $359,505,000 $-167,194,000 $159,722,000
2018 $1,264,379,000 $1,903,339,000 $1,682,643,000 $127,862,000 $327,351,000 $-157,715,000 $138,206,000
2017 $1,191,780,000 $1,790,147,000 $1,797,133,000 $-184,000 $198,677,000 $-103,070,000 $40,508,000