Recent Annual Filings for XMTR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $680,129,000 $545,529,000 $595,953,000 $-51,560,000 $-15,384,000 $4,639,000 $-30,924,000
2023 $707,387,000 $463,406,000 $531,224,000 $-66,616,000 $-29,877,000 $1,067,000 $-12,004,000
2022 $736,925,000 $381,053,000 $457,026,000 $-76,090,000 $-62,575,000 $280,972,000 $-20,233,000
2021 $502,586,000 $218,336,000 $277,022,000 $-61,442,000 $-68,571,000 $307,768,000 $26,449,000