Recent Annual Filings for OXM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,289,805,000 $1,516,601,000 $1,400,033,000 $92,032,000 $194,032,000 $-48,607,000 $1,866,000
2024 $1,097,844,000 $1,571,475,000 $1,496,529,000 $59,792,000 $244,284,000 $-161,172,000 $-869,000
2023 $1,188,665,000 $1,411,528,000 $1,195,803,000 $167,383,000 $125,610,000 $-11,527,000 $-37,664,000
2022 $957,642,000 $1,142,079,000 $977,520,000 $131,513,000 $198,006,000 $-38,175,000 $-21,154,000
2021 $865,634,000 $748,833,000 $874,710,000 $-94,695,000 $83,850,000 $-35,848,000 $13,553,000
2020 $1,033,369,000 $1,122,790,000 $1,030,360,000 $68,927,000 $121,926,000 $-41,298,000 $44,133,000
2019 $727,254,000 $1,107,466,000 $1,019,157,000 $65,270,000 $96,377,000 $-56,765,000 $2,215,000
2018 $699,941,000 $1,086,211,000 $1,003,320,000 $66,292,000 $118,593,000 $-64,712,000 $-396,000