Recent Annual Filings for DOMO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $214,340,000 $317,044,000 $397,769,000 $-82,424,000 $-9,052,000 $3,391,000 $-15,675,000
2024 $225,660,000 $318,989,000 $393,301,000 $-75,427,000 $2,583,000 $3,471,000 $-5,561,000
2023 $242,116,000 $308,645,000 $413,017,000 $-106,261,000 $-10,890,000 $2,424,000 $-17,061,000
2022 $244,589,000 $257,961,000 $360,533,000 $-102,600,000 $379,000 $-561,000 $-7,233,000
2021 $216,438,000 $210,180,000 $294,405,000 $-84,146,000 $-15,872,000 $13,095,000 $9,951,000
2020 $216,738,000 $173,395,000 $298,297,000 $-125,705,000 $-80,219,000 $7,984,000 $-96,130,000
2019 $292,632,000 $142,464,000 $295,525,000 $-154,377,000 $-131,367,000 $254,335,000 $115,001,000