Recent Annual Filings for CFLT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,694,911,000 $963,642,000 $1,298,303,000 $-348,976,000 $33,460,000 $79,806,000 $36,219,000
2023 $2,460,809,000 $776,952,000 $1,183,626,000 $-432,020,000 $-103,657,000 $102,372,000 $-86,020,000
2022 $2,344,849,000 $585,944,000 $1,032,202,000 $-461,177,000 $-157,333,000 $82,241,000 $-940,901,000
2021 $2,342,729,000 $387,864,000 $727,491,000 $-343,859,000 $-105,060,000 $1,844,514,000 $1,338,876,000