Recent Annual Filings for AKAM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,368,785,000 $3,991,168,000 $3,457,757,000 $444,255,000 $1,519,171,000 $-679,635,000 $28,614,000
2023 $9,900,037,000 $3,811,920,000 $3,174,582,000 $592,631,000 $1,348,439,000 $443,379,000 $-52,552,000
2022 $8,303,400,000 $3,616,654,000 $2,940,380,000 $452,445,000 $1,274,676,000 $-634,177,000 $5,271,000
2021 $8,138,673,000 $3,461,223,000 $2,678,075,000 $602,738,000 $1,404,563,000 $-562,003,000 $184,285,000
2020 $7,764,130,000 $3,198,149,000 $2,539,615,000 $581,997,000 $1,215,000,000 $-223,641,000 $-40,680,000
2019 $7,006,886,000 $2,893,617,000 $2,344,699,000 $481,803,000 $1,058,304,000 $-35,677,000 $-642,841,000
2018 $5,461,770,000 $2,714,474,000 $2,351,975,000 $271,391,000 $1,008,327,000 $233,608,000 $722,558,000
2017 $4,602,844,000 $2,502,996,000 $2,186,777,000 $252,613,000 $800,983,000 $-365,005,000 $-10,787,000