Recent Annual Filings for UNF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,569,975,000 $2,233,047,000 $2,099,444,000 $104,203,000 $215,762,000 $-25,839,000 $-297,724,000
2022 $2,427,972,000 $2,000,822,000 $1,866,471,000 $103,950,000 $122,649,000 $-69,438,000 $-133,296,000
2021 $2,381,065,000 $1,826,216,000 $1,630,391,000 $158,245,000 $212,302,000 $-34,255,000 $36,582,000
2020 $2,199,027,000 $1,804,159,000 $1,631,430,000 $137,488,000 $286,684,000 $-41,103,000 $87,965,000
2019 $2,047,320,000 $1,809,376,000 $1,577,368,000 $170,605,000 $282,142,000 $-41,491,000 $116,322,000
2018 $1,843,386,000 $1,696,489,000 $1,514,113,000 $160,254,000 $230,073,000 $-152,948,000 $-79,240,000
2017 $1,819,128,000 $1,590,958,000 $1,480,675,000 $77,627,000 $218,274,000 $-2,182,000 $-14,043,000
2016 $1,702,007,000 $1,468,046,000 $1,266,886,000 $120,490,000 $207,636,000 $-5,644,000 $87,242,000