Recent Annual Filings for ANGI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,830,735,000 $1,185,112,000 $1,105,649,000 $33,304,000 $155,941,000 $-53,759,000 $51,771,000
2023 $1,856,215,000 $1,358,748,000 $1,322,699,000 $-37,810,000 $104,845,000 $-16,983,000 $41,630,000
2022 $1,907,778,000 $1,891,524,000 $1,579,769,000 $-133,010,000 $27,069,000 $-17,227,000 $-107,349,000
2021 $2,010,141,000 $1,685,438,000 $1,761,951,000 $-71,713,000 $6,209,000 $-345,168,000 $-384,076,000
2020 $2,368,182,000 $1,467,925,000 $1,474,293,000 $2,667,000 $188,419,000 $337,053,000 $422,083,000
2019 $1,921,611,000 $1,326,205,000 $1,287,560,000 $35,710,000 $214,161,000 $-121,532,000 $52,657,000
2018 $1,808,027,000 $1,132,241,000 $1,068,335,000 $72,648,000 $223,700,000 $-49,021,000 $117,300,000
2017 $1,467,262,000 $736,386,000 $884,257,000 $-99,559,000 $41,823,000 $235,337,000 $185,144,000