Recent Annual Filings for NYT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,841,479,000 $2,585,919,000 $2,234,823,000 $280,881,000 $410,512,000 $-192,715,000 $-89,315,000
2023 $2,714,595,000 $2,426,152,000 $2,149,880,000 $237,737,000 $360,618,000 $-132,710,000 $67,999,000
2022 $2,533,752,000 $2,308,321,000 $2,052,584,000 $199,260,000 $150,687,000 $-174,306,000 $-99,133,000
2021 $2,564,108,000 $2,074,877,000 $1,803,012,000 $246,950,000 $269,098,000 $-54,947,000 $32,342,000
2020 $2,307,689,000 $1,783,639,000 $1,607,383,000 $185,632,000 $297,933,000 $-44,973,000 $54,446,000
2019 $2,089,138,000 $1,812,184,000 $1,634,639,000 $162,714,000 $189,898,000 $-295,291,000 $-12,281,000
2018 $2,197,123,000 $1,748,598,000 $1,558,778,000 $126,900,000 $157,117,000 $3,824,000 $58,863,000
2017 $2,099,780,000 $1,675,639,000 $1,488,131,000 $64,738,000 $86,712,000 $-26,019,000 $81,712,000