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DUOL Stock Cash Flow Statements
$328.6 (-2.20%)  At 2025-01-23 19:00:00 EST

Duolingo Quarterly Cash Flow Statements Chart

Quarterly
 | 
Annual
 
 Stock-Based Compensation  
 Operating Cash Flow  
 Investing Cash Flow  
 Financing Cash Flow  
 Net Income  
20210930 20211231 20220331 20220630 20220930 20221231 20230331 20230630 20230930 20231231 20240331 20240630 20240930 -93.29-18.2856.72131.73206.74281.74356.75431.76Milllion

Duolingo Quarterly Cash Flow Statements Table

Quarterly
 | 
Annual
 
Unit: USD2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 
               
  cash flows from operating activities:             
  net income23,360,000 24,351,000 26,956,000 12,117,000 2,807,000 3,725,000 -2,582,000 -13,930,000 -18,445,000 -15,045,000 -12,154,000 -17,517,000 -28,970,000 
  adjustments to reconcile net income to net cash from operating activities:             
  depreciation and amortization2,876,000 2,243,000 2,074,000 2,042,000 1,657,000 1,634,000 1,762,000 1,444,000 1,482,000 1,170,000 774,000 757,000 733,000 
  stock-based compensation expense28,959,000 26,746,000 24,985,000 25,002,000 25,432,000         
  accretion on marketable securities             
  gain on sale of capitalized software   -100,000       
  loss on disposal of leasehold improvements   16,000          
  changes in assets and liabilities:             
  deferred revenue19,126,000 12,164,000 30,121,000 40,304,000 16,135,000 10,811,000 24,392,000 22,606,000 6,750,000 9,093,000 20,834,000 17,807,000 9,463,000 
  accounts receivable-16,462,000 -1,301,000 12,554,000 -27,264,000 -8,305,000 -897,000 -5,781,000 -16,531,000 -1,988,000 364,000 4,590,000 -12,426,000 4,392,000 
  deferred cost of revenues-4,044,000 -2,888,000 -6,466,000 -7,807,000 -3,404,000 -2,583,000 -5,096,000 -4,783,000 -1,040,000 -1,438,000 -3,561,000 -4,493,000  
  prepaid expenses and other current assets-3,807,000 -1,570,000 -3,465,000 2,251,000 617,000 -2,653,000 -263,000 739,000 -1,416,000 -804,000 66,000 -1,489,000 -3,406,000 
  accounts payable-214,000 1,134,000 -398,000 -142,000 344,000 1,404,000 -345,000 -2,791,000 2,450,000 -514,000 -5,800,000 -890,000 4,442,000 
  accrued expenses and other current liabilities5,550,000 315,000 -4,514,000 3,259,000 1,221,000 2,165,000 -3,201,000 4,451,000 764,000 2,240,000 1,265,000 3,299,000 700,000 
  noncurrent assets and liabilities935,000 1,194,000 1,667,000 -585,000 729,000 -153,000 -255,000 -229,000 -286,000 -518,000 27,000 700,000 -947,000 
  net cash from operating activities56,267,000 62,388,000 83,514,000 49,193,000 37,650,000 37,167,000 29,604,000 11,608,000 8,759,000 12,662,000 20,627,000 432,000 4,511,000 
  cash flows from investing activities:             
  purchases of investments             
  capitalized software expense and purchases of intangible assets-1,845,000 -3,093,000 -3,607,000 -3,224,000 -3,994,000 -2,544,000 -731,000       
  purchase of property and equipment-3,178,000 -5,563,000 -1,414,000 -924,000 -759,000 -827,000 -681,000 -292,000 -2,079,000 -1,864,000 -1,327,000 -523,000 -1,085,000 
  proceeds from sale of capitalized software   100,000       
  acquisition of companies, net of 5 cash acquired             
  net cash from investing activities-93,288,000 -8,656,000 -5,021,000 -4,148,000 -4,753,000 -3,371,000 -1,312,000 -4,945,000 -3,516,000 -3,269,000 -2,444,000 -1,108,000 -1,464,000 
  cash flows from financing activities:             
  proceeds from exercise of stock options3,190,000 4,795,000 3,610,000 3,563,000 1,657,000 3,778,000 4,619,000 1,550,000 3,564,000 4,436,000 5,226,000 5,158,000 4,015,000 
  taxes paid related to net-share settlement of share-based compensation awards             
  net cash from financing activities3,190,000 4,795,000 3,610,000 3,563,000 -9,825,000 3,778,000 4,619,000 1,550,000 3,564,000 4,436,000 5,226,000 5,158,000 431,757,000 
  net increase in cash, cash equivalents and restricted cash-33,831,000 58,527,000 82,103,000           
  cash, cash equivalents and restricted cash - beginning of period750,345,000           
  cash, cash equivalents and restricted cash - end of period-33,831,000 58,527,000 832,448,000           
  acquisition, net of 0 cash acquired             
  issuance of common stock in connection with the initial public offering, net of underwriting discounts and issuance costs            
  net proceeds from issuance of convertible preferred stock             
  repurchases of stock options           
  repurchase of common stock           
  taxes paid related to net-share settlements of share-based compensation awards             
  net increase in cash and cash equivalents    23,072,000 37,574,000 32,911,000 8,213,000 8,807,000 13,829,000 23,409,000 4,482,000 434,804,000 
  cash and cash equivalents - beginning of period    608,180,000 553,922,000 
  cash and cash equivalents - end of period    23,072,000 37,574,000 641,091,000 8,213,000 8,807,000 13,829,000 577,331,000 4,482,000 434,804,000 
  stock-based compensation      21,073,000 20,632,000 20,488,000 18,114,000 14,586,000 14,684,000 20,662,000 
  capitalized software        -1,437,000 -1,405,000 -1,117,000 -585,000 -379,000 
  supplemental disclosure of cash flow information:             
  cash paid for interest             
  cash paid for income taxes        605,000 3,000 38,000 36,000 
  supplemental disclosure of noncash operating activities:             
  implementation costs for cloud computing included in current liabilities         -146,000 153,000   
  supplemental disclosure of noncash investing activities:             
  capitalized software included in current liabilities        -4,000 -2,000 14,000   
  property and equipment included in current liabilities        -1,013,000 880,000 178,000   
  landlord incentives included in prepaid expenses and other current assets        1,046,000 1,102,000   
  payments of deferred offering costs             
  supplemental disclosure of noncash financing activities:             
  deferred offering costs included in accrued expenses             
  changes in assets and liabilities             
  implementation costs for cloud computing included in accrued expenses             
  deferred cost of revenue             

We provide you with 20 years of cash flow statements for Duolingo stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as operating cash flows, cash levels, capital expenditures, profits, stock-based compensations and profit margins. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of Duolingo stock. Explore the full financial landscape of Duolingo stock with our expertly curated income statements.

The information provided in this report about Duolingo stock is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.