Recent Annual Filings for FLWS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,032,648,000 $1,831,421,000 $1,833,493,000 $-6,062,000 $94,999,000 $-20,065,000 $32,630,000
2023 $1,051,430,000 $2,017,853,000 $2,052,864,000 $-44,661,000 $115,351,000 $30,820,000 $95,342,000
2022 $1,094,891,000 $2,207,885,000 $2,165,784,000 $29,717,000 $5,189,000 $-57,609,000 $-142,108,000
2021 $1,076,679,000 $2,122,245,000 $1,973,130,000 $118,577,000 $173,290,000 $67,694,000 $-66,933,000
2020 $774,435,000 $1,489,637,000 $1,411,795,000 $59,024,000 $139,417,000 $-15,455,000 $67,583,000
2019 $606,440,000 $1,248,623,000 $1,205,640,000 $34,697,000 $78,100,000 $-19,857,000 $25,683,000
2018 $570,889,000 $1,151,921,000 $1,113,899,000 $40,778,000 $58,341,000 $-19,027,000 $-2,492,000
2017 $552,470,000 $1,193,625,000 $1,137,616,000 $44,000,000 $61,010,000 $-17,406,000 $121,906,000