Recent Annual Filings for SBUX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $29,445,500,000 $35,975,600,000 $30,494,500,000 $3,809,700,000 $6,008,700,000 $-2,990,600,000 $733,100,000
2022 $27,978,400,000 $32,250,300,000 $27,866,600,000 $2,673,000,000 $4,397,300,000 $-5,638,000,000 $-3,637,300,000
2021 $31,392,600,000 $29,060,600,000 $24,573,800,000 $4,712,100,000 $5,989,100,000 $-3,651,000,000 $2,104,800,000
2020 $29,374,500,000 $23,518,000,000 $22,278,800,000 $1,058,600,000 $1,597,800,000 $1,713,300,000 $1,664,300,000
2019 $19,219,600,000 $26,508,600,000 $22,728,700,000 $3,421,600,000 $5,047,000,000 $-10,056,900,000 $-6,069,700,000
2018 $24,156,400,000 $24,719,500,000 $21,137,400,000 $4,343,300,000 $11,937,800,000 $-3,242,800,000 $6,294,000,000
2017 $14,365,600,000 $22,386,800,000 $18,643,500,000 $2,837,700,000 $4,174,300,000 $-3,001,600,000 $333,500,000
2016 $14,329,500,000 $21,315,900,000 $17,462,200,000 $2,909,900,000 $4,575,100,000 $-1,750,000,000 $598,700,000