Recent Annual Filings for OLO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $754,776,000 $284,938,000 $284,877,000 $-853,000 $39,688,000 $-14,277,000 $8,539,000
2023 $742,819,000 $228,289,000 $286,347,000 $-58,049,000 $-6,568,000 $-45,797,000 $-71,855,000
2022 $775,562,000 $185,404,000 $232,654,000 $-46,221,000 $2,344,000 $-8,233,000 $-164,372,000
2021 $755,876,000 $149,368,000 $196,197,000 $-42,273,000 $16,253,000 $499,508,000 $438,689,000