Recent Annual Filings for FUBO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,232,640,000 $1,368,225,000 $1,662,206,000 $-282,632,000 $-177,622,000 $111,233,000 $-91,806,000
2022 $1,277,774,000 $1,008,696,000 $1,435,407,000 $-562,244,000 $-316,701,000 $296,270,000 $-32,854,000
2021 $1,369,778,000 $638,350,000 $1,023,994,000 $-382,665,000 $-192,601,000 $511,958,000 $243,185,000
2020 $859,349,000 $217,746,000 $826,798,000 $-570,504,000 $-149,018,000 $279,072,000 $128,597,000