Recent Annual Filings for SLQT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,193,908,000 $1,321,776,000 $1,257,226,000 $-43,692,000 $15,236,000 $-40,856,000 $-40,466,000
2023 $1,219,251,000 $1,002,848,000 $991,265,000 $-56,581,000 $-19,377,000 $-29,339,000 $-57,841,000
2022 $1,290,052,000 $764,045,000 $1,110,054,000 $-286,017,000 $-338,314,000 $235,433,000 $-145,457,000
2021 $1,433,872,000 $937,815,000 $737,743,000 $132,529,000 $-115,442,000 $97,042,000 $-82,416,000
2020 $1,073,793,000 $531,515,000 $399,186,000 $79,893,000 $-61,776,000 $481,446,000 $368,300,000