Recent Annual Filings for MNST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,719,089,000 $7,492,709,000 $5,503,250,000 $1,364,898,000 $1,928,533,000 $-3,329,029,000 $-764,388,000
2023 $9,686,522,000 $7,140,027,000 $5,071,545,000 $1,664,724,000 $1,717,753,000 $-542,599,000 $990,534,000
2022 $8,293,105,000 $6,311,050,000 $4,739,086,000 $1,101,716,000 $887,699,000 $-706,938,000 $-19,321,000
2021 $7,804,784,000 $5,541,352,000 $3,739,933,000 $1,305,276,000 $1,155,741,000 $34,821,000 $146,049,000
2020 $6,202,716,000 $4,598,638,000 $2,972,481,000 $1,445,015,000 $1,364,163,000 $-526,068,000 $382,456,000
2019 $5,150,352,000 $4,200,819,000 $2,784,857,000 $1,108,312,000 $1,113,762,000 $-628,506,000 $160,444,000
2018 $4,526,891,000 $3,807,183,000 $2,513,911,000 $976,799,000 $1,161,881,000 $-1,316,111,000 $108,891,000
2017 $4,791,012,000 $3,369,045,000 $2,167,422,000 $827,268,000 $987,731,000 $-311,135,000 $151,040,000