Recent Annual Filings for SPOK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $227,684,000 $139,025,000 $117,797,000 $15,811,000 $26,184,000 $-26,677,000 $-3,765,000
2022 $244,477,000 $134,534,000 $134,296,000 $21,535,000 $6,456,000 $-26,221,000 $-8,829,000
2021 $248,154,000 $142,153,000 $169,871,000 $-22,316,000 $7,968,000 $-11,753,000 $-4,146,000
2020 $277,291,000 $148,180,000 $170,845,000 $-44,076,000 $26,163,000 $-10,373,000 $1,368,000
2019 $319,872,000 $160,289,000 $176,098,000 $-11,065,000 $11,693,000 $-17,153,000 $-35,982,000
2018 $327,712,000 $169,474,000 $172,647,000 $-1,528,000 $10,315,000 $-24,276,000 $-19,836,000
2017 $350,561,000 $171,175,000 $160,469,000 $-15,306,000 $15,556,000 $-25,001,000 $-18,659,000
2016 $388,087,000 $179,561,000 $157,408,000 $13,979,000 $37,461,000 $-16,723,000 $14,484,000