Recent Annual Filings for DPZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,737,013,000 $4,706,416,000 $3,984,201,000 $580,605,000 $624,897,000 $-532,223,000 $61,445,000
2023 $1,674,899,000 $4,479,358,000 $3,826,918,000 $519,945,000 $590,864,000 $-476,358,000 $7,589,000
2022 $1,671,816,000 $4,357,373,000 $3,731,668,000 $510,071,000 $654,206,000 $-522,833,000 $-11,666,000
2020 $1,567,168,000 $4,117,411,000 $3,562,281,000 $492,614,000 $592,794,000 $-446,406,000 $18,222,000
2019 $1,382,092,000 $3,618,774,000 $3,136,137,000 $401,396,000 $496,950,000 $-222,792,000 $246,505,000
2018 $907,385,000 $3,432,867,000 $3,004,189,000 $359,924,000 $394,171,000 $-322,803,000 $-17,427,000
2017 $836,753,000 $2,787,979,000 $2,387,826,000 $278,985,000 $339,036,000 $-197,145,000 $-7,047,000
2015 $799,845,000 $2,216,528,000 $1,910,313,000 $191,902,000 $291,786,000 $-80,936,000 $102,594,000