Recent Annual Filings for PLAY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $4,015,800,000 $2,132,700,000 $1,912,300,000 $57,600,000 $312,300,000 $187,100,000 $-30,400,000
2024 $3,754,400,000 $2,205,300,000 $1,898,700,000 $126,900,000 $364,200,000 $-179,400,000 $-144,300,000
2023 $3,761,000,000 $1,964,427,000 $1,701,919,000 $139,903,000 $444,468,000 $762,806,000 $155,681,000
2022 $2,345,790,000 $1,304,056,000 $1,116,875,000 $114,097,000 $283,128,000 $-177,641,000 $14,019,000
2021 $2,352,824,000 $436,512,000 $689,124,000 $-207,690,000 $-49,224,000 $118,420,000 $-12,764,000
2020 $2,370,139,000 $1,354,691,000 $1,206,612,000 $92,577,000 $288,946,000 $-58,585,000 $3,070,000
2019 $1,273,187,000 $1,265,301,000 $1,104,301,000 $116,787,000 $337,616,000 $-131,018,000 $2,790,000
2018 $1,197,030,000 $1,139,791,000 $974,019,000 $121,423,000 $264,672,000 $-49,337,000 $-1,288,000