Recent Annual Filings for IAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,547,160,000 $3,807,233,000 $3,811,463,000 $-534,207,000 $354,518,000 $-129,099,000 $502,244,000
2023 $10,371,177,000 $4,365,235,000 $4,625,998,000 $261,016,000 $189,528,000 $-223,013,000 $-120,952,000
2022 $10,393,635,000 $5,235,280,000 $5,710,051,000 $-1,211,231,000 $-82,791,000 $-112,651,000 $-690,250,000
2021 $12,300,288,000 $3,699,627,000 $3,836,694,000 $599,449,000 $136,953,000 $1,409,314,000 $-1,353,634,000
2020 $9,135,440,000 $3,047,681,000 $3,620,030,000 $276,398,000 $154,581,000 $4,351,919,000 $2,636,378,000
2019 $8,332,825,000 $4,757,055,000 $4,175,722,000 $533,854,000 $937,939,000 $399,831,000 $1,006,673,000
2018 $6,874,585,000 $4,262,892,000 $3,697,753,000 $726,341,000 $988,128,000 $-312,798,000 $500,003,000
2017 $5,867,810,000 $3,307,239,000 $3,118,773,000 $434,251,000 $416,690,000 $-166,124,000 $301,622,000