Recent Annual Filings for TPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,396,300,000 $6,671,200,000 $5,659,300,000 $860,000,000 $1,255,600,000 $5,214,400,000 $5,415,900,000
2023 $7,116,800,000 $6,660,900,000 $5,517,800,000 $917,000,000 $975,200,000 $-1,035,900,000 $-63,700,000
2022 $7,265,300,000 $6,684,500,000 $5,637,500,000 $757,400,000 $853,200,000 $-1,778,100,000 $-1,217,900,000
2021 $8,382,400,000 $5,746,300,000 $4,849,000,000 $854,400,000 $1,323,700,000 $-666,000,000 $581,400,000
2020 $7,924,200,000 $4,961,400,000 $5,585,600,000 $-661,100,000 $407,000,000 $5,900,000 $457,100,000
2019 $6,877,300,000 $6,027,100,000 $5,260,900,000 $643,000,000 $791,700,000 $-484,900,000 $-274,200,000
2018 $6,678,300,000 $5,880,000,000 $5,283,200,000 $401,600,000 $996,700,000 $-249,900,000 $-1,429,500,000