Recent Annual Filings for QTWO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,294,795,000 $696,464,000 $727,324,000 $-39,298,000 $135,751,000 $13,317,000 $127,161,000
2023 $1,201,425,000 $624,624,000 $686,446,000 $-63,523,000 $70,292,000 $-152,012,000 $31,730,000
2022 $1,349,726,000 $565,673,000 $671,748,000 $-111,820,000 $36,556,000 $5,882,000 $-123,919,000
2021 $1,385,045,000 $498,720,000 $609,823,000 $-112,849,000 $30,925,000 $-51,160,000 $-85,364,000
2020 $1,416,702,000 $402,751,000 $538,955,000 $-137,666,000 $-2,890,000 $434,676,000 $307,623,000
2019 $1,009,434,000 $315,484,000 $398,848,000 $-70,826,000 $567,000 $476,091,000 $-6,594,000
2018 $463,720,000 $241,100,000 $280,300,000 $-35,295,000 $4,595,000 $216,577,000 $49,880,000
2017 $212,815,000 $193,978,000 $220,456,000 $-26,164,000 $9,472,000 $11,559,000 $3,088,000