Recent Annual Filings for DXLG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $380,955,000 $467,015,000 $461,199,000 $3,055,000 $29,583,000 $-13,933,000 $-15,689,000
2024 $357,741,000 $521,815,000 $483,424,000 $32,782,000 $49,594,000 $-24,932,000 $-24,484,000
2023 $350,598,000 $545,838,000 $487,503,000 $89,720,000 $59,944,000 $-13,734,000 $36,568,000
2022 $279,958,000 $505,021,000 $447,391,000 $57,409,000 $75,541,000 $-73,760,000 $-3,491,000
2020 $390,917,000 $474,038,000 $481,729,000 $-8,044,000 $15,803,000 $-2,934,000 $-530,000
2019 $226,076,000 $473,756,000 $487,337,000 $-14,189,000 $15,741,000 $-3,274,000 $-494,000
2018 $240,405,000 $467,976,000 $489,374,000 $-16,943,000 $30,959,000 $-8,604,000 $-210,000
2017 $269,328,000 $450,283,000 $452,373,000 $-1,622,000 $34,960,000 $-5,319,000 $402,000