Recent Annual Filings for DDOG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,785,339,000 $2,684,275,000 $2,480,335,000 $181,263,000 $870,603,000 $787,083,000 $916,644,000
2023 $3,936,072,000 $2,128,359,000 $2,068,124,000 $58,772,000 $659,954,000 $58,279,000 $-11,949,000
2022 $3,004,852,000 $1,675,100,000 $1,713,170,000 $-58,752,000 $418,407,000 $36,023,000 $67,825,000
2021 $2,380,794,000 $1,028,784,000 $1,047,206,000 $-26,862,000 $286,545,000 $34,940,000 $45,752,000
2020 $1,890,285,000 $603,466,000 $625,688,000 $-22,393,000 $109,091,000 $670,276,000 $-372,478,000
2019 $1,038,041,000 $362,780,000 $378,756,000 $-16,608,000 $24,234,000 $714,216,000 $536,209,000