Recent Annual Filings for MELI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $17,646,000,000 $14,473,000,000 $12,920,000,000 $1,161,000,000 $5,140,000,000 $-267,000,000 $485,000,000
2022 $13,736,000,000 $10,537,000,000 $9,757,000,000 $533,000,000 $2,940,000,000 $916,000,000 $-285,000,000
2021 $10,101,158,000 $7,069,409,000 $6,828,781,000 $36,447,000 $965,043,000 $1,924,983,000 $1,139,739,000
2020 $6,526,332,000 $3,973,465,000 $3,892,150,000 $-62,320,000 $1,182,552,000 $242,266,000 $1,056,800,000
2019 $4,781,691,000 $2,296,314,000 $2,403,560,000 $-187,093,000 $451,091,000 $2,021,012,000 $986,729,000
2018 $2,239,519,000 $1,439,653,000 $1,505,105,000 $-145,311,000 $230,907,000 $608,882,000 $76,435,000
2017 $1,673,187,000 $1,398,095,000 $1,344,025,000 $-9,258,000 $269,010,000 $-50,903,000 $154,120,000
2016 $1,367,435,000 $844,396,000 $659,068,000 $115,832,000 $190,259,000 $-19,668,000 $67,259,000