Recent Annual Filings for EVGO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $803,761,000 $256,825,000 $385,810,000 $-126,701,000 $-7,256,000 $13,093,000 $-88,634,000
2023 $806,614,000 $160,953,000 $296,377,000 $-135,466,000 $-37,055,000 $143,020,000 $-37,347,000
2022 $729,724,000 $54,588,000 $160,810,000 $-106,240,000 $-58,794,000 $19,813,000 $-238,688,000
2021 $746,321,000 $22,214,000 $79,976,000 $-57,762,000 $-29,603,000 $594,635,000 $477,267,000