Recent Annual Filings for FSLY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,451,359,000 $543,676,000 $699,130,000 $-157,150,000 $16,406,000 $-17,099,000 $178,104,000
2023 $1,525,191,000 $505,988,000 $639,297,000 $-124,810,000 $362,000 $-331,380,000 $-35,470,000
2022 $1,896,113,000 $432,725,000 $623,405,000 $-197,433,000 $-69,632,000 $-189,149,000 $-23,420,000
2021 $2,159,020,000 $354,330,000 $576,958,000 $-225,330,000 $-38,482,000 $936,551,000 $103,081,000
2020 $1,219,951,000 $290,874,000 $398,286,000 $-96,122,000 $-19,916,000 $272,739,000 $-22,349,000
2019 $320,969,000 $200,462,000 $251,520,000 $-51,318,000 $-31,303,000 $168,148,000 $49,266,000