Recent Annual Filings for EYE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,007,771,000 $1,823,320,000 $1,849,004,000 $-28,080,000 $133,649,000 $-113,345,000 $-75,790,000
2023 $2,172,511,000 $2,126,468,000 $2,188,232,000 $-65,141,000 $173,033,000 $-136,808,000 $-79,597,000
2022 $2,291,246,000 $2,005,404,000 $1,944,591,000 $42,883,000 $119,198,000 $-84,556,000 $-76,252,000
2020 $2,333,498,000 $1,711,760,000 $1,673,080,000 $35,691,000 $234,981,000 $176,281,000 $334,852,000
2019 $2,032,725,000 $1,724,331,000 $1,693,842,000 $31,794,000 $165,081,000 $-42,141,000 $22,309,000
2018 $1,661,389,000 $1,536,854,000 $1,531,986,000 $30,711,000 $106,628,000 $10,397,000 $12,804,000
2017 $1,583,791,000 $1,375,308,000 $1,368,135,000 $50,508,000 $90,252,000 $3,838,000 $-737,000