Recent Annual Filings for GDDY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,235,400,000 $4,573,200,000 $3,679,700,000 $958,200,000 $1,287,700,000 $-677,400,000 $630,200,000
2023 $7,564,900,000 $4,254,100,000 $3,706,700,000 $1,308,600,000 $1,047,600,000 $-1,261,700,000 $-315,200,000
2022 $6,973,500,000 $4,091,300,000 $3,592,500,000 $570,000,000 $979,700,000 $-1,326,700,000 $-481,700,000
2021 $7,417,100,000 $3,815,700,000 $3,433,600,000 $335,700,000 $829,300,000 $298,100,000 $490,500,000
2020 $6,432,900,000 $3,316,700,000 $3,044,500,000 $-546,800,000 $764,600,000 $-581,700,000 $-297,600,000
2019 $6,301,200,000 $2,988,100,000 $2,785,500,000 $174,200,000 $723,400,000 $-456,900,000 $130,400,000
2018 $6,083,400,000 $2,660,100,000 $2,510,500,000 $99,600,000 $559,800,000 $47,000,000 $349,700,000
2017 $5,738,300,000 $2,231,900,000 $2,125,100,000 $4,800,000 $475,600,000 $1,107,500,000 $16,600,000