Quarterly Summary 2022 2023 2024 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Nights and 102.1M 103.7M 99.7M 88.2M 121.1M 115.1M 113.2M 98.8M
132.6M 125.1M 122.8M Experiences Booked Y/Y 59% 25% 25% 20% 19% 11% 14% 12% 9% 9% 8% Gross Booking Value $17.2B $16.9B $15.6B $13.5B $20.4B $19.1B $18.3B $15.5B $22.9B $21.2B $20.1B Y/Y 67% 27% 31% 20% 19% 13% 17% 15% 12% 11% 10% Gross Booking Value
per Night and Experience $168.07 $163.74 $156.44 $152.81 $168.43 $166.01 $161.38 $156.73 $172.88 $169.53 $163.64 Booked (or ADR) Y/Y 5% 1% 5% (1)% -% 1% 3% 3% 3% 2% 1% 2022 2023 2024 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Revenue $1,509M $2,104M $2,884M
$1,902M $1,818M $2,484M $3,397M $2,218M $2,142M $2,748M $3,732M Y/Y 70% 58% 29% 24% 20% 18% 18% 17% 18% 11% 10% FX Neutral Y/Y 74% 64% 36% 31% 24% 19% 14% 14% 18% 11% 10% Net income (loss) $(19)M $379M $1,214M $319M $117M $650M $4,374M $(349)M $264M
$555M $1,368M Adjusted EBITDA $229M $711M $1,457M $506M $262M $819M $1,834M $738M $424M $894M $1,958M Net cash provided by $1,202M $801M $964M $463M $1,587M $909M $1,325M $63M $1,923M $1,051M $1,078M operating activities Free Cash Flow $1,196M $796M
$958M $455M $1,581M $900M $1,310M $46M $1,909M $1,043M $1,074M TTM Net cash provided $2,909M $2,920M $3,349M $3,430M $3,815M $3,923M $4,284M $3,884M $4,220M $4,362M $4,115M by operating activities TTM Free Cash Flow $2,886M $2,899M $3,328M $3,405M
$3,790M $3,894M $4,246M $3,837M $4,165M $4,308M $4,072M 2022 2023 2024 Mar 31 Jun 30 Sept 30 Dec 31 Mar 31 Jun 30 Sept 30 Dec 31 Mar 31 Jun 30 Sept 30 Cash and other $9,337M $9,910M $9,629M $9,639M $10,624M $10,369M $10,986M $10,095M $11,128M
$11,286M $11,280M liquid assets (1) Funds receivable and amounts held on behalf $6,105M $7,466M $4,805M $4,783M $7,760M $9,144M $5,986M $5,869M $8,737M $10,342M $6,573M of customers Unearned fees $1,748M $1,981M $1,220M $1,182M
$2,172M $2,347M $1,467M $1,427M $2,434M $2,621M $1,657M 1 Includes cash and cash equivalents, restricted cash, and short-term investments.