Recent Annual Filings for QNST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $368,546,000 $613,514,000 $643,910,000 $-31,333,000 $12,039,000 $-12,511,000 $-23,207,000
2023 $337,155,000 $580,624,000 $601,986,000 $-68,871,000 $11,838,000 $-19,459,000 $-22,746,000
2022 $419,909,000 $582,099,000 $587,861,000 $-5,254,000 $28,672,000 $-33,315,000 $-13,868,000
2021 $449,515,000 $578,487,000 $549,158,000 $23,537,000 $50,615,000 $-11,312,000 $2,846,000
2020 $358,407,000 $490,339,000 $471,653,000 $18,231,000 $47,608,000 $-11,632,000 $44,844,000
2019 $324,611,000 $455,154,000 $444,435,000 $62,494,000 $37,965,000 $-4,054,000 $-3,078,000
2018 $220,296,000 $404,358,000 $387,854,000 $16,013,000 $26,979,000 $3,894,000 $15,129,000
2017 $174,308,000 $299,785,000 $313,073,000 $-12,253,000 $18,536,000 $-18,505,000 $-4,139,000