Recent Annual Filings for BMBL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,524,887,000 $1,071,643,000 $1,772,117,000 $-779,551,000 $123,441,000 $-250,828,000 $-152,140,000
2023 $3,625,127,000 $1,051,830,000 $998,457,000 $4,362,000 $182,086,000 $-198,891,000 $-47,840,000
2022 $3,692,621,000 $903,503,000 $1,006,347,000 $-120,386,000 $132,941,000 $-14,954,000 $37,867,000
2021 $3,775,820,000 $765,660,000 $900,343,000 $279,626,000 $104,837,000 $151,486,000 $240,889,000