Recent Annual Filings for MSTR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,843,685,000 $463,456,000 $2,397,802,000 $-1,170,601,000 $-53,032,000 $22,132,641,000 $-6,628,000
2023 $4,762,528,000 $496,261,000 $620,786,000 $431,478,000 $12,712,000 $1,889,886,000 $-2,639,000
2022 $2,410,272,000 $499,264,000 $1,821,729,000 $-1,476,055,000 $3,211,000 $265,188,000 $-10,191,000
2021 $3,557,124,000 $510,762,000 $1,322,151,000 $-539,138,000 $93,833,000 $2,541,685,000 $6,283,000
2020 $1,465,612,000 $480,735,000 $500,688,000 $-1,758,000 $53,619,000 $563,233,000 $-401,841,000
2019 $916,571,000 $486,327,000 $448,064,000 $34,921,000 $60,867,000 $-66,150,000 $348,404,000
2018 $855,768,000 $497,638,000 $477,156,000 $17,943,000 $10,627,000 $-108,515,000 $-306,952,000
2017 $835,728,000 $504,543,000 $431,936,000 $22,418,000 $78,322,000 $1,656,000 $18,470,000