Recent Annual Filings for SKLZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $395,826,000 $152,079,000 $266,371,000 $-99,804,000 $-71,758,000 $-149,951,000 $-53,408,000
2022 $621,295,000 $269,709,000 $691,066,000 $-440,190,000 $-179,597,000 $-10,605,000 $121,184,000
2021 $1,022,825,000 $384,089,000 $671,211,000 $-181,625,000 $-180,154,000 $802,682,000 $-21,396,000
2020 $282,421,000 $230,115,000 $329,736,000 $-122,461,000 $-56,232,000 $296,578,000 $237,100,000