Recent Annual Filings for GRPN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $612,690,000 $492,557,000 $522,948,000 $-20,133,000 $55,894,000 $47,790,000 $94,931,000
2023 $570,956,000 $514,910,000 $558,336,000 $-61,523,000 $-77,985,000 $-35,690,000 $-114,058,000
2022 $793,117,000 $599,085,000 $791,055,000 $-226,625,000 $-135,987,000 $-34,407,000 $-209,239,000
2021 $1,157,881,000 $967,108,000 $879,083,000 $112,426,000 $-123,958,000 $-183,850,000 $-353,619,000
2020 $1,411,507,000 $1,416,868,000 $1,710,934,000 $-322,152,000 $-63,598,000 $176,798,000 $93,078,000
2019 $1,586,743,000 $2,218,915,000 $2,232,446,000 $-7,216,000 $71,283,000 $-92,619,000 $-88,927,000
2018 $1,642,142,000 $2,636,746,000 $2,635,715,000 $4,585,000 $190,855,000 $-84,417,000 $-29,544,000
2017 $1,677,505,000 $2,843,877,000 $2,807,732,000 $419,000 $135,079,000 $-138,046,000 $17,152,000