Recent Annual Filings for TWLO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,865,472,000 $4,458,036,000 $4,546,649,000 $-111,323,000 $716,241,000 $-2,311,572,000 $-224,494,000
2023 $11,609,707,000 $4,153,945,000 $5,150,674,000 $-893,661,000 $414,752,000 $-643,610,000 $-147,000
2022 $12,564,304,000 $3,826,321,000 $5,069,953,000 $-1,359,165,000 $-254,368,000 $45,007,000 $-825,753,000
2021 $12,998,598,000 $2,841,839,000 $3,802,768,000 $-977,087,000 $-58,192,000 $3,096,325,000 $547,946,000
2020 $9,487,433,000 $1,761,776,000 $2,266,202,000 $-487,019,000 $32,654,000 $1,493,311,000 $680,150,000
2019 $5,150,516,000 $1,134,468,000 $1,496,684,000 $-303,259,000 $14,048,000 $1,020,145,000 $-251,599,000
2018 $1,028,710,000 $650,067,000 $771,225,000 $-122,692,000 $7,983,000 $515,819,000 $384,546,000
2017 $449,782,000 $399,020,000 $462,023,000 $-61,683,000 $-3,260,000 $36,437,000 $-190,379,000