Recent Annual Filings for DIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,790,584,000 $812,306,000 $722,763,000 $64,878,000 $108,160,000 $-51,703,000 $48,006,000
2023 $1,740,287,000 $831,068,000 $719,365,000 $97,177,000 $131,140,000 $-225,435,000 $-124,392,000
2022 $1,881,491,000 $909,402,000 $794,617,000 $81,105,000 $89,336,000 $-108,801,000 $-100,369,000
2021 $1,999,366,000 $896,167,000 $774,244,000 $97,860,000 $195,835,000 $-230,396,000 $-30,700,000
2020 $2,074,945,000 $689,268,000 $797,830,000 $-103,991,000 $96,503,000 $168,350,000 $283,578,000
2019 $2,049,511,000 $910,178,000 $771,705,000 $104,348,000 $155,180,000 $-182,931,000 $-27,904,000
2018 $1,774,700,000 $780,900,000 $670,300,000 $80,399,000 $140,346,000 $-88,312,000 $37,233,000
2017 $1,750,200,000 $604,800,000 $1,030,200,000 $-330,537,000 $65,733,000 $-95,753,000 $-22,345,000