Recent Annual Filings for YETI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,286,120,000 $1,829,873,000 $1,597,025,000 $178,509,000 $261,386,000 $-209,217,000 $-80,165,000
2023 $1,297,192,000 $1,658,713,000 $1,432,767,000 $168,241,000 $285,942,000 $-13,596,000 $204,219,000
2022 $1,076,765,000 $1,595,222,000 $1,479,045,000 $88,920,000 $100,894,000 $-122,628,000 $-77,448,000
2020 $737,067,000 $1,091,721,000 $886,520,000 $155,410,000 $366,427,000 $-163,191,000 $180,768,000
2019 $629,539,000 $913,734,000 $846,476,000 $50,532,000 $86,893,000 $-45,687,000 $-7,536,000
2018 $514,213,000 $778,833,000 $709,218,000 $57,626,000 $176,068,000 $-117,990,000 $26,401,000