Recent Annual Filings for WOOF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $5,194,430,000 $6,116,462,000 $6,244,428,000 $-121,720,000 $177,673,000 $-8,754,000 $45,016,000
2024 $5,363,152,000 $6,255,284,000 $7,579,295,000 $-1,274,291,000 $215,719,000 $-85,352,000 $-77,078,000
2023 $6,612,829,000 $6,035,967,000 $5,923,686,000 $88,051,000 $346,003,000 $-33,842,000 $-8,163,000
2022 $6,497,941,000 $5,807,149,000 $5,604,754,000 $158,842,000 $358,215,000 $-18,782,000 $102,350,000
2016 $3,373,328,000 $2,516,863,000 $2,163,680,000 $222,146,000 $389,831,000 $421,316,000 $-17,479,000
2015 $2,507,265,000 $2,133,675,000 $1,782,034,000 $184,499,000 $317,545,000 $-95,273,000 $17,505,000
2014 $2,332,020,000 $1,918,483,000 $1,690,922,000 $126,720,000 $270,210,000 $-93,765,000 $-43,646,000
2013 $2,237,781,000 $1,803,369,000 $1,572,994,000 $134,923,000 $256,372,000 $-72,013,000 $56,594,000