Recent Annual Filings for FLNT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $93,617,000 $254,623,000 $278,283,000 $-29,277,000 $-14,104,000 $15,205,000 $-5,110,000
2023 $111,867,000 $298,399,000 $358,529,000 $-63,218,000 $8,138,000 $-10,768,000 $-9,743,000
2022 $183,969,000 $361,134,000 $480,725,000 $-123,332,000 $1,964,000 $-5,448,000 $-8,920,000
2021 $318,182,000 $329,250,000 $333,915,000 $-10,059,000 $12,424,000 $2,469,000 $11,900,000
2020 $310,220,000 $310,719,000 $302,340,000 $2,207,000 $20,298,000 $-13,617,000 $2,408,000
2019 $317,093,000 $281,684,000 $276,465,000 $-1,747,000 $26,018,000 $-13,150,000 $910,000
2018 $293,269,000 $250,280,000 $238,908,000 $-17,932,000 $23,484,000 $1,789,000 $2,685,000