Recent Annual Filings for ETSY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,685,400,000 $2,748,377,000 $2,455,557,000 $354,315,000 $705,513,000 $-656,533,000 $-12,296,000
2022 $2,634,961,000 $2,566,111,000 $3,228,089,000 $-933,491,000 $683,612,000 $-506,484,000 $141,082,000
2021 $3,831,809,000 $2,329,114,000 $1,857,460,000 $412,542,000 $651,551,000 $452,749,000 $-463,903,000
2020 $2,404,489,000 $1,725,625,000 $1,359,916,000 $363,896,000 $678,956,000 $119,282,000 $800,806,000
2019 $1,542,352,000 $818,379,000 $737,733,000 $95,008,000 $206,920,000 $359,607,000 $76,308,000
2018 $901,851,000 $603,693,000 $548,615,000 $76,057,000 $198,925,000 $144,006,000 $51,543,000
2017 $605,583,000 $441,231,000 $408,966,000 $56,949,000 $67,420,000 $3,439,000 $133,850,000
2016 $581,193,000 $364,967,000 $367,843,000 $-22,234,000 $46,759,000 $5,810,000 $-89,652,000