Recent Annual Filings for CVNA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,071,000,000 $10,771,000,000 $150,000,000 $803,000,000 $-868,000,000 $-34,000,000
2022 $8,698,000,000 $13,604,000,000 $-2,894,000,000 $-1,324,000,000 $3,899,000,000 $-8,000,000
2021 $7,015,000,000 $12,814,000,000 $-287,000,000 $-2,594,000,000 $3,528,000,000 $307,000,000
2020 $3,034,531,000 $5,586,565,000 $-462,222,000 $-608,412,000 $1,164,990,000 $210,652,000
2019 $2,057,748,000 $3,939,896,000 $4,304,535,000 $-364,639,000 $-757,134,000 $1,014,623,000 $29,750,000
2018 $991,013,000 $1,955,467,000 $2,210,212,000 $-254,745,000 $-414,340,000 $466,264,000 $-98,414,000
2017 $641,137,000 $858,870,000 $1,023,186,000 $-164,316,000 $-199,924,000 $416,087,000 $133,496,000