Recent Annual Filings for LEVI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,053,600,000 $6,179,000,000 $5,913,800,000 $280,400,000 $435,500,000 $-214,100,000 $-30,900,000
2022 $6,037,800,000 $6,168,600,000 $5,519,000,000 $544,700,000 $228,100,000 $-365,400,000 $-380,600,000
2021 $5,900,069,000 $5,763,936,000 $5,183,696,000 $600,600,000 $737,264,000 $-840,888,000 $-687,068,000
2020 $5,641,241,000 $4,452,609,000 $4,642,392,000 $-109,157,000 $469,586,000 $285,995,000 $562,895,000
2019 $4,232,418,000 $5,763,087,000 $5,285,503,000 $414,890,000 $412,188,000 $55,018,000 $221,055,000