Recent Annual Filings for XPOF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $403,397,000 $13,987,000 $373,960,000 $-98,696,000 $11,677,000 $-1,883,000 $-4,355,000
2023 $528,698,000 $13,398,000 $278,987,000 $-1,713,000 $35,422,000 $-23,109,000 $-276,000
2022 $482,691,000 $12,823,000 $229,818,000 $2,875,000 $51,670,000 $-21,007,000 $16,050,000
2021 $415,544,000 $155,079,000 $185,898,000 $-51,440,000 $14,451,000 $46,205,000 $10,021,000