Recent Annual Filings for IMKTA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,473,845,733 $5,892,781,732 $5,614,276,773 $211,639,039 $266,411,341 $-34,974,175 $61,341,405
2022 $2,295,510,725 $5,678,835,032 $5,317,565,104 $288,591,619 $339,498,470 $-30,623,236 $196,885,167
2021 $2,018,343,955 $4,987,919,603 $4,660,305,145 $256,556,614 $306,296,688 $-114,902,457 $63,409,395
2020 $1,899,298,902 $4,610,609,025 $4,375,564,592 $169,615,787 $350,117,097 $-267,984,850 $-35,221,150
2019 $1,867,328,368 $4,202,033,610 $4,095,435,608 $80,314,352 $211,503,228 $-27,122,869 $31,587,802
2018 $1,824,910,820 $4,092,804,877 $4,012,486,249 $97,364,628 $161,240,058 $-26,468,374 $-13,374,797
2017 $1,733,305,774 $4,002,699,727 $3,918,438,147 $53,873,580 $156,340,291 $-12,747,776 $18,232,591
2012 $1,642,108,604 $3,709,433,820 $3,642,086,477 $43,444,343 $133,750,768 $-37,927,692 $-7,737,840