Recent Annual Filings for DNUT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,072,030,000 $1,665,397,000 $1,645,628,000 $-36,652,000 $45,832,000 $-73,949,000 $-9,299,000
2023 $3,240,592,000 $1,686,104,000 $1,727,098,000 $-19,256,000 $45,544,000 $71,862,000 $2,884,000
2022 $3,145,254,000 $1,384,391,000 $1,388,489,000 $-16,527,000 $141,224,000 $16,096,000 $1,709,000