Recent Annual Filings for QS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,322,395,000 $-474,637,000 $-274,555,000 $144,028,000 $-1,658,000
2023 $1,501,978,000 $-430,083,000 $-240,025,000 $300,213,000 $-92,344,000
2022 $1,475,406,000 $-425,561,000 $-218,024,000 $8,598,000 $-85,307,000
2021 $1,715,648,000 $-50,154,000 $-127,909,000 $736,557,000 $222,814,000
2020 $1,066,769,000 $-1,100,041,000 $-61,263,000 $953,724,000 $89,813,000