Recent Annual Filings for UPWK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,211,613,000 $769,325,000 $678,898,000 $215,645,000 $153,563,000 $-81,956,000 $209,175,000
2023 $1,037,541,000 $689,136,000 $640,259,000 $50,177,000 $27,221,000 $-114,304,000 $1,187,000
2022 $1,080,245,000 $618,318,000 $707,667,000 $-92,442,000 $6,559,000 $6,082,000 $-56,827,000
2021 $1,081,061,000 $502,797,000 $558,915,000 $-56,240,000 $10,836,000 $537,739,000 $119,595,000
2020 $529,227,000 $373,628,000 $396,345,000 $-22,867,000 $22,365,000 $54,641,000 $72,860,000
2019 $446,380,000 $300,562,000 $317,193,000 $-16,659,000 $1,058,000 $29,402,000 $-70,464,000
2018 $391,573,000 $253,354,000 $273,246,000 $-19,907,000 $13,744,000 $101,074,000 $107,533,000