Recent Annual Filings for HIMS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $707,539,000 $1,476,514,000 $1,404,803,000 $125,838,000 $251,084,000 $-107,845,000 $123,921,000
2023 $441,186,000 $872,000,000 $893,571,000 $-23,393,000 $73,483,000 $-11,475,000 $49,891,000
2022 $366,341,000 $526,916,000 $592,625,000 $-65,818,000 $-26,531,000 $-33,127,000 $-25,012,000
2021 $420,585,000 $271,878,000 $382,673,000 $-107,785,000 $-34,412,000 $235,043,000 $44,290,000