Recent Annual Filings for YEXT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $610,078,000 $420,957,000 $449,015,000 $-29,734,000 $50,211,000 $-28,541,000 $-71,530,000
2024 $508,810,000 $404,322,000 $404,660,000 $-3,196,000 $46,157,000 $-23,254,000 $19,970,000
2023 $523,761,000 $400,850,000 $464,708,000 $-69,368,000 $17,853,000 $-79,021,000 $-70,996,000
2022 $620,335,000 $390,577,000 $482,559,000 $-95,868,000 $21,849,000 $24,617,000 $30,799,000
2021 $595,989,000 $354,661,000 $449,256,000 $-91,910,000 $1,204,000 $22,548,000 $-37,765,000
2020 $563,620,000 $298,829,000 $419,276,000 $-120,476,000 $-30,768,000 $168,373,000 $176,421,000
2019 $267,128,000 $228,283,000 $302,898,000 $-74,632,000 $5,240,000 $24,384,000 $57,388,000
2018 $203,489,000 $170,201,000 $236,604,000 $-66,393,000 $-31,909,000 $129,604,000 $9,947,000