Recent Annual Filings for PZZA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $888,952,000 $2,059,387,000 $1,902,683,000 $83,544,000 $106,632,000 $-91,672,000 $-2,388,000
2023 $875,005,000 $2,135,713,000 $1,988,571,000 $85,131,000 $193,055,000 $-124,076,000 $-6,144,000
2022 $864,227,000 $2,102,103,000 $1,981,008,000 $69,185,000 $117,808,000 $-76,240,000 $-21,225,000
2021 $885,704,000 $2,068,421,000 $1,900,180,000 $129,152,000 $184,675,000 $-180,526,000 $-59,363,000
2020 $872,770,000 $1,813,234,000 $1,722,981,000 $56,631,000 $186,439,000 $-43,461,000 $101,907,000
2019 $730,721,000 $1,619,248,000 $1,599,452,000 $-1,385,000 $61,749,000 $-34,574,000 $-5,400,000
2018 $570,947,000 $1,573,316,000 $1,542,647,000 $2,674,000 $72,795,000 $-36,682,000 $-2,686,000
2017 $555,553,000 $1,783,359,000 $1,630,668,000 $110,295,000 $134,975,000 $-72,060,000 $6,782,000