Recent Annual Filings for CDLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $392,711,000 $278,298,000 $473,797,000 $-188,170,000 $-8,824,000 $1,444,000 $-26,236,000
2023 $574,144,000 $309,204,000 $444,874,000 $-137,833,000 $-185,000 $-20,026,000 $-30,155,000
2022 $691,236,000 $298,542,000 $756,320,000 $-460,152,000 $-53,904,000 $-39,987,000 $-111,577,000
2021 $1,263,797,000 $267,116,000 $389,715,000 $-127,887,000 $-38,523,000 $485,998,000 $-59,787,000
2020 $422,537,000 $186,892,000 $240,815,000 $-56,926,000 $-7,598,000 $206,430,000 $188,762,000
2019 $224,313,000 $210,430,000 $227,755,000 $-17,824,000 $11,457,000 $44,179,000 $44,717,000
2018 $153,763,000 $150,684,000 $191,601,000 $-52,116,000 $-18,995,000 $65,191,000 $38,608,000