Recent Annual Filings for YELP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,014,723,000 $1,337,062,000 $1,258,019,000 $102,516,000 $306,280,000 $-246,778,000 $6,864,000
2022 $1,015,922,000 $1,193,506,000 $1,135,153,000 $31,892,000 $192,309,000 $-237,532,000 $-173,503,000
2021 $1,050,528,000 $1,031,839,000 $1,000,325,000 $35,388,000 $212,655,000 $-300,489,000 $-115,899,000
2020 $1,154,947,000 $872,933,000 $911,728,000 $-14,472,000 $176,701,000 $-21,052,000 $404,222,000
2019 $1,070,700,000 $1,014,194,000 $978,683,000 $40,143,000 $204,782,000 $-491,519,000 $-162,517,000
2018 $1,175,563,000 $942,773,000 $916,876,000 $52,773,000 $160,187,000 $-207,747,000 $-211,569,000
2017 $1,216,512,000 $846,813,000 $667,328,000 $159,990,000 $167,647,000 $27,162,000 $275,649,000
2016 $885,206,000 $713,069,000 $718,048,000 $-6,727,000 $126,900,000 $29,522,000 $100,588,000