Recent Annual Filings for LYFT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,435,069,000 $5,786,016,000 $5,904,928,000 $17,630,000 $849,737,000 $-155,869,000 $174,254,000
2023 $4,564,467,000 $4,403,589,000 $4,879,193,000 $-339,515,000 $-98,244,000 $-122,078,000 $379,964,000
2022 $4,556,431,000 $4,095,135,000 $5,554,051,000 $-1,587,754,000 $-237,285,000 $-87,500,000 $-139,371,000
2021 $4,773,884,000 $3,208,323,000 $4,290,755,000 $-1,011,397,000 $-101,721,000 $-72,470,000 $92,708,000
2020 $4,678,964,000 $2,364,681,000 $4,173,063,000 $-1,756,055,000 $-1,378,899,000 $512,566,000 $-125,980,000
2019 $5,691,383,000 $3,615,960,000 $6,318,440,000 $-2,599,649,000 $-105,702,000 $1,574,196,000 $-142,021,000