Recent Annual Filings for SHOO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,347,943,000 $1,981,582,000 $1,760,968,000 $180,957,000 $229,237,000 $-200,936,000 $-70,073,000
2022 $1,257,988,000 $2,122,009,000 $1,839,689,000 $209,987,000 $267,883,000 $-215,828,000 $55,214,000
2021 $1,355,542,000 $1,866,142,000 $1,624,074,000 $192,544,000 $159,463,000 $-184,653,000 $-28,365,000
2020 $1,137,761,000 $1,201,814,000 $1,231,799,000 $-16,122,000 $44,206,000 $-57,074,000 $-16,237,000
2019 $1,278,647,000 $1,787,157,000 $1,605,931,000 $143,641,000 $233,780,000 $-142,178,000 $64,070,000
2018 $1,072,570,000 $1,653,609,000 $1,476,269,000 $123,484,000 $154,376,000 $-145,810,000 $18,817,000
2015 $914,385,000 $1,405,239,000 $1,232,773,000 $94,994,000 $135,963,000 $-110,096,000 $-9,036,000
2014 $911,235,000 $1,334,951,000 $1,163,558,000 $106,554,000 $151,975,000 $-141,889,000 $-98,825,000