Recent Annual Filings for IPAR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,411,261,000 $1,452,325,000 $1,183,934,000 $161,846,000 $187,642,000 $-100,769,000 $36,971,000
2023 $1,369,329,000 $1,317,700,000 $1,068,107,000 $210,198,000 $105,774,000 $-133,214,000 $-16,251,000
2022 $1,308,542,000 $1,086,700,000 $892,481,000 $124,702,000 $115,150,000 $-45,568,000 $-63,674,000
2021 $1,145,364,000 $879,500,000 $728,481,000 $65,693,000 $119,586,000 $78,193,000 $-1,294,000
2020 $890,145,000 $539,000,000 $469,651,000 $97,809,000 $64,993,000 $-18,645,000 $36,264,000
2019 $828,832,000 $713,514,000 $608,368,000 $67,244,000 $76,452,000 $-68,183,000 $-719,000
2018 $799,167,000 $675,574,000 $579,715,000 $47,298,000 $63,041,000 $-55,882,000 $-15,207,000
2017 $777,772,000 $591,251,000 $513,186,000 $111,324,000 $35,891,000 $-47,630,000 $46,515,000