Recent Annual Filings for EGHT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $755,979,000 $728,705,000 $792,655,000 $-66,218,000 $78,985,000 $-83,411,000 $3,994,000
2023 $841,810,000 $743,938,000 $814,274,000 $-78,157,000 $48,786,000 $-37,784,000 $12,015,000
2022 $910,268,000 $638,130,000 $813,900,000 $-179,103,000 $34,680,000 $105,425,000 $-20,458,000
2021 $678,409,000 $532,344,000 $697,086,000 $-157,602,000 $-14,066,000 $13,192,000 $-35,239,000
2020 $700,641,000 $446,237,000 $617,773,000 $-177,191,000 $-93,905,000 $72,095,000 $-128,272,000
2019 $546,358,000 $352,586,000 $440,756,000 $-90,447,000 $-14,868,000 $249,238,000 $244,880,000
2018 $277,209,000 $296,500,000 $334,703,000 $-100,500,000 $22,041,000 $-16,440,000 $-1,227,000
2017 $333,855,000 $253,388,000 $258,265,000 $-10,209,000 $28,478,000 $1,596,000 $7,454,000