Recent Annual Filings for SKX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,547,351,000 $8,000,342,000 $7,199,470,000 $657,276,000 $1,231,164,000 $-234,677,000 $578,468,000
2022 $6,893,487,000 $7,444,550,000 $6,922,293,000 $385,397,000 $238,325,000 $-118,059,000 $-167,220,000
2021 $6,491,280,000 $6,285,029,000 $5,715,272,000 $793,491,000 $212,152,000 $-433,918,000 $-566,432,000
2020 $5,812,369,000 $4,597,414,000 $4,442,685,000 $157,767,000 $331,453,000 $533,302,000 $552,287,000
2019 $4,892,943,000 $5,220,051,000 $4,704,046,000 $428,550,000 $426,552,000 $-131,973,000 $-49,494,000
2018 $3,228,255,000 $4,642,068,000 $4,210,184,000 $346,467,000 $568,552,000 $-119,715,000 $129,423,000
2017 $2,735,082,000 $4,164,160,000 $3,779,900,000 $254,223,000 $159,337,000 $-14,541,000 $6,546,000
2016 $2,393,670,000 $3,563,311,000 $3,203,827,000 $280,661,000 $361,622,000 $-3,524,000 $212,453,000