Recent Annual Filings for EXPI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $390,722,000 $4,567,672,000 $4,583,389,000 $-24,675,000 $191,514,000 $-170,377,000 $-1,305,000
2023 $385,668,000 $4,281,105,000 $4,294,540,000 $-8,877,000 $209,131,000 $-184,089,000 $11,501,000
2022 $381,682,000 $4,598,161,000 $4,593,573,000 $15,490,000 $210,535,000 $-204,514,000 $-16,527,000
2021 $413,826,000 $3,771,170,000 $3,737,498,000 $81,161,000 $246,892,000 $-179,924,000 $47,986,000
2020 $242,187,000 $1,798,285,000 $1,766,882,000 $31,178,000 $119,659,000 $-21,893,000 $80,850,000
2019 $96,452,379 $979,937,241 $988,996,880 $-9,316,488 $55,186,432 $-24,568,707 $24,033,800
2018 $55,846,028 $500,147,681 $522,500,237 $-22,450,137 $24,310,719 $2,015,034 $17,466,291