Recent Annual Filings for FOXF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,232,310,000 $1,393,921,000 $1,392,909,000 $-2,305,000 $131,832,000 $-67,328,000 $-11,968,000
2023 $2,242,298,000 $1,464,178,000 $1,325,515,000 $115,105,000 $178,743,000 $508,979,000 $-61,608,000
2022 $1,618,336,000 $1,602,491,000 $1,368,727,000 $215,184,000 $187,094,000 $-179,141,000 $-34,436,000
2021 $1,515,729,000 $1,299,064,000 $1,110,683,000 $167,626,000 $65,290,000 $-24,100,000 $-66,078,000
2019 $609,316,000 $751,020,000 $642,451,000 $95,404,000 $74,830,000 $859,000 $15,778,000
2018 $485,254,000 $619,225,000 $528,335,000 $84,751,000 $65,392,000 $-43,431,000 $-7,989,000
2017 $428,286,000 $475,633,000 $411,348,000 $45,208,000 $48,172,000 $22,007,000 $667,000
2016 $335,600,000 $403,077,000 $359,987,000 $35,435,000 $38,845,000 $1,830,000 $28,336,000