Recent Annual Filings for DKS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $10,458,694,000 $13,442,849,000 $11,923,816,000 $1,164,882,000 $1,311,835,000 $-626,131,000 $-111,280,000
2024 $9,311,752,000 $12,984,399,000 $11,666,248,000 $1,046,442,000 $1,527,335,000 $-1,035,748,000 $-123,166,000
2023 $8,992,196,000 $12,368,198,000 $10,984,450,000 $1,042,968,000 $921,881,000 $-1,247,636,000 $-718,819,000
2022 $9,041,676,000 $12,293,368,000 $10,298,930,000 $1,519,838,000 $1,616,872,000 $-287,722,000 $985,138,000
2021 $7,752,859,000 $9,584,019,000 $8,872,284,000 $530,322,000 $1,552,769,000 $260,057,000 $1,588,733,000
2020 $6,628,560,000 $8,750,743,000 $8,343,039,000 $297,462,000 $404,612,000 $-319,660,000 $-44,319,000
2019 $4,187,149,000 $8,436,570,000 $8,004,650,000 $319,822,000 $712,755,000 $-502,094,000 $12,400,000
2018 $4,203,939,000 $8,590,472,000 $8,089,135,000 $323,499,000 $746,310,000 $-324,240,000 $-63,524,000