Recent Annual Filings for UPST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,017,100,000 $513,562,000 $770,087,000 $-240,132,000 $-160,493,000 $214,268,000 $-64,680,000
2022 $1,936,054,000 $842,444,000 $956,307,000 $-108,665,000 $-674,681,000 $130,032,000 $-658,774,000
2021 $1,820,455,000 $848,589,000 $707,708,000 $135,443,000 $168,353,000 $855,432,000 $879,908,000