Recent Annual Filings for MTCH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,465,771,000 $3,479,373,000 $2,656,061,000 $487,141,000 $932,719,000 $-758,304,000 $103,553,000
2023 $4,507,886,000 $3,364,504,000 $2,447,608,000 $635,193,000 $896,791,000 $-534,068,000 $289,924,000
2022 $4,182,764,000 $3,188,843,000 $2,673,838,000 $213,558,000 $525,688,000 $-689,173,000 $-242,996,000
2021 $5,063,288,000 $2,983,277,000 $2,131,598,000 $133,946,000 $912,499,000 $111,106,000 $76,210,000
2020 $2,976,980,000 $2,391,269,000 $1,645,554,000 $227,255,000 $802,182,000 $1,676,887,000 $-2,401,056,000
2019 $2,423,712,000 $2,051,258,000 $1,402,727,000 $524,153,000 $658,402,000 $-336,847,000 $278,663,000
2018 $2,053,061,000 $1,729,850,000 $1,176,556,000 $447,624,000 $603,455,000 $-649,555,000 $-85,621,000
2017 $2,130,146,000 $1,330,661,000 $970,144,000 $414,915,000 $315,030,000 $-423,714,000 $18,973,000