Recent Annual Filings for UTZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,728,412,000 $1,409,281,000 $1,339,814,000 $23,259,000 $106,166,000 $-177,012,000 $4,115,000
2023 $2,746,736,000 $1,438,237,000 $1,477,512,000 $-53,575,000 $76,640,000 $-49,055,000 $-20,907,000
2022 $2,716,346,000 $1,180,713,000 $1,164,629,000 $23,346,000 $48,387,000 $82,778,000 $-4,933,000
2020 $2,584,164,000 $964,310,000 $977,207,000 $-3,735,000 $29,695,000 $231,522,000 $-442,181,000