Recent Annual Filings for DUOL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,301,728,000 $748,024,000 $645,718,000 $88,574,000 $285,513,000 $-30,002,000 $38,181,000
2023 $953,957,000 $531,109,000 $513,332,000 $16,067,000 $153,614,000 $2,135,000 $142,165,000
2022 $747,347,000 $369,495,000 $428,131,000 $-59,574,000 $53,656,000 $14,776,000 $54,258,000
2021 $661,311,000 $250,772,000 $310,730,000 $-60,135,000 $9,170,000 $430,468,000 $433,432,000