Recent Annual Filings for UFPI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,150,938,000 $6,652,309,000 $6,112,154,000 $398,753,000 $642,571,000 $-307,120,000 $64,701,000
2023 $4,017,797,000 $7,218,384,000 $6,547,143,000 $529,293,000 $959,890,000 $-162,860,000 $556,866,000
2022 $3,672,073,000 $9,626,739,000 $8,691,923,000 $702,466,000 $831,567,000 $-210,210,000 $267,421,000
2021 $3,245,271,000 $8,636,134,000 $7,909,798,000 $547,068,000 $512,477,000 $-45,006,000 $-145,385,000
2020 $2,404,891,000 $5,153,998,000 $4,813,015,000 $259,849,000 $336,477,000 $85,221,000 $267,942,000
2019 $1,889,477,000 $4,492,184,000 $4,251,510,000 $183,917,000 $349,291,000 $-67,268,000 $140,468,000
2018 $1,647,548,000 $4,565,749,000 $4,367,896,000 $147,336,000 $116,685,000 $4,393,000 $-618,000
2017 $1,464,677,000 $3,941,182,000 $3,765,175,000 $130,170,000 $136,583,000 $-5,247,000 $-5,673,000