Recent Annual Filings for RBLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,175,003,000 $3,601,979,000 $4,665,296,000 $-945,943,000 $822,316,000 $65,894,000 $33,217,000
2023 $6,168,078,000 $2,799,274,000 $4,058,341,000 $-1,157,754,000 $458,180,000 $67,176,000 $-2,299,008,000
2022 $5,375,487,000 $2,225,052,000 $3,148,836,000 $-932,854,000 $369,296,000 $43,642,000 $-26,826,000
2021 $4,560,596,000 $1,919,181,000 $2,414,279,000 $-503,535,000 $659,109,000 $1,598,124,000 $2,110,357,000