Recent Annual Filings for ZUMZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $634,881,000 $889,202,000 $885,125,000 $-6,464,000 $20,701,000 $-24,600,000 $27,245,000
2024 $664,226,000
2023 $747,903,000 $958,380,000 $925,913,000 $14,704,000 $-379,000 $-87,257,000 $-35,599,000
2022 $862,012,000 $1,183,867,000 $1,023,356,000 $104,887,000 $134,950,000 $-191,409,000 $43,362,000
2021 $998,364,000 $990,652,000 $888,195,000 $89,757,000 $138,412,000 $-9,694,000 $21,699,000
2020 $914,258,000 $1,034,129,000 $943,136,000 $63,514,000 $105,642,000 $2,010,000 $4,292,000
2019 $534,190,000 $978,617,000 $916,287,000 $35,946,000 $65,319,000 $120,000 $28,381,000
2018 $499,510,000