Recent Annual Filings for DKNG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,283,725,000 $4,767,699,000 $5,360,857,000 $-507,285,000 $417,767,000 $-144,466,000 $-293,300,000
2023 $3,944,866,000 $3,665,393,000 $4,456,646,000 $-802,142,000 $-1,751,000 $-63,221,000 $-155,332,000
2022 $4,040,152,000 $2,240,461,000 $3,683,419,000 $-1,377,987,000 $-625,519,000 $-16,732,000 $-851,017,000
2021 $4,069,054,000 $1,296,025,000 $2,813,669,000 $-1,570,241,000 $-419,508,000 $1,138,813,000 $524,866,000
2020 $3,439,329,000 $614,532,000 $1,458,858,000 $-760,736,000 $-337,875,000 $2,306,299,000 $1,740,725,000