Recent Annual Filings for NFLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $53,630,374,000 $39,000,966,000 $29,035,309,000 $9,297,738,000 $7,361,364,000 $-4,074,427,000 $688,822,000
2023 $48,731,992,000 $33,723,297,000 $27,517,892,000 $5,401,351,000 $7,274,301,000 $-5,950,803,000 $1,947,933,000
2022 $48,594,768,000 $31,615,550,000 $26,351,621,000 $4,315,113,000 $2,026,257,000 $-664,254,000 $-884,529,000
2021 $44,584,663,000 $29,697,844,000 $23,857,741,000 $5,031,335,000 $392,610,000 $-1,149,776,000 $-2,183,759,000
2020 $39,280,359,000 $24,996,056,000 $21,796,707,000 $2,829,314,000 $2,427,077,000 $1,237,311,000 $3,195,084,000
2019 $33,975,712,000 $20,156,447,000 $18,094,216,000 $1,862,977,000 $-2,887,322,000 $4,505,662,000 $1,231,745,000
2018 $25,974,400,000 $15,794,341,000 $14,567,883,000 $1,212,217,000 $-2,680,479,000 $4,048,527,000 $989,246,000
2017 $19,012,742,000 $11,692,713,000 $11,207,392,000 $586,937,000 $-1,785,948,000 $3,076,990,000 $1,355,219,000