Recent Annual Filings for BOX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,667,520,000 $1,090,130,000 $1,004,970,000 $242,386,000 $332,257,000 $-62,362,000 $246,684,000
2024 $1,241,163,000 $1,037,741,000 $975,155,000 $126,411,000 $318,727,000 $-272,896,000 $-36,961,000
2023 $1,207,165,000 $990,874,000 $956,467,000 $24,261,000 $297,982,000 $-396,495,000 $22,087,000
2022 $1,392,009,000 $874,332,000 $911,796,000 $-45,064,000 $234,818,000 $-172,861,000 $-177,411,000
2021 $1,351,682,000 $770,770,000 $812,996,000 $-44,064,000 $196,834,000 $218,677,000 $399,128,000
2020 $959,991,000 $696,264,000 $839,202,000 $-144,678,000 $44,713,000 $-53,416,000 $-21,999,000
2019 $650,161,000 $608,386,000 $741,600,000 $-134,877,000 $55,321,000 $-29,567,000 $9,603,000
2018 $553,566,000 $506,142,000 $660,387,000 $-154,552,000 $61,822,000 $-19,830,000 $30,685,000