Recent Annual Filings for ADI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $48,228,277,000 $9,427,157,000 $7,649,817,000 $1,638,319,000 $3,852,529,000 $-1,714,390,000 $1,033,281,000
2023 $48,794,478,000 $12,305,539,000 $8,697,536,000 $3,324,429,000 $4,817,634,000 $-4,063,760,000 $-512,511,000
2022 $50,302,350,000 $12,013,953,000 $8,915,204,000 $2,736,974,000 $4,475,402,000 $-4,290,720,000 $-507,392,000
2021 $52,322,071,000 $7,318,286,000 $5,989,572,000 $1,453,318,000 $2,735,069,000 $-3,959,664,000 $922,104,000
2020 $21,468,603,000 $5,603,056,000 $4,291,439,000 $1,161,478,000 $2,008,487,000 $-1,420,608,000 $407,538,000
2019 $21,392,641,000 $5,991,065,000 $4,505,337,000 $1,233,652,000 $2,253,100,000 $-2,126,794,000 $-168,269,000
2018 $20,449,779,000 $6,200,942,000 $4,562,425,000 $1,498,351,000 $2,442,361,000 $-2,358,042,000 $-231,247,000
2017 $21,141,294,000 $5,107,503,000 $4,279,018,000 $739,714,000 $1,112,592,000 $5,628,578,000 $126,706,000