Recent Annual Filings for MNRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,692,814,000 $1,276,789,000 $1,224,909,000 $38,235,000 $125,196,000 $-121,563,000 $1,677,000
2023 $1,776,877,000 $1,325,382,000 $1,268,215,000 $39,427,000 $215,016,000 $-244,626,000 $-3,064,000
2022 $1,871,412,000 $1,359,328,000 $1,282,043,000 $61,693,000 $173,759,000 $-85,970,000 $-22,012,000
2021 $1,811,814,000 $1,125,721,000 $1,081,530,000 $36,589,000 $184,905,000 $-434,161,000 $-315,516,000
2020 $2,049,457,000 $1,256,524,000 $1,182,250,000 $55,671,000 $121,329,000 $376,744,000 $339,262,000
2019 $1,312,288,000 $1,200,230,000 $1,099,870,000 $79,464,000 $152,891,000 $-42,703,000 $4,305,000
2018 $1,218,432,000 $1,127,815,000 $1,024,361,000 $63,545,000 $121,235,000 $-69,831,000 $-7,086,000
2017 $1,185,264,000 $1,021,511,000 $924,267,000 $62,941,000 $129,935,000 $46,699,000 $1,010,000