Recent Annual Filings for CHGG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $868,951,000 $617,574,000 $1,305,940,000 $-834,562,000 $125,205,000 $-109,142,000 $26,383,000
2023 $1,727,235,000 $716,295,000 $665,983,000 $40,929,000 $246,198,000 $-852,770,000 $-337,878,000
2022 $2,465,416,000 $766,897,000 $662,951,000 $214,484,000 $255,736,000 $-744,803,000 $-380,039,000
2021 $2,919,246,000 $776,265,000 $770,526,000 $-8,322,000 $273,224,000 $466,722,000 $374,178,000
2020 $2,251,258,000 $644,338,000 $645,199,000 $-3,595,000 $236,442,000 $588,627,000 $92,283,000
2019 $1,488,998,000 $410,926,000 $417,897,000 $-9,682,000 $113,403,000 $603,509,000 $13,487,000
2018 $760,938,000 $321,084,000 $334,542,000 $-15,625,000 $75,113,000 $256,418,000 $248,982,000
2017 $446,930,000 $255,066,000 $273,547,000 $-20,389,000 $51,148,000 $134,214,000 $49,128,000