Recent Annual Filings for ALGM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,530,603,000 $1,049,367,000 $854,570,000 $144,543,000 $181,715,000 $198,878,000 $-136,544,000
2023 $1,181,155,000 $973,653,000 $762,307,000 $184,957,000 $193,206,000 $-19,998,000 $68,906,000
2022 $892,620,000 $768,674,000 $627,928,000 $112,713,000 $156,129,000 $-5,307,000 $85,924,000
2021 $747,678,000 $591,207,000 $592,658,000 $26,085,000 $120,570,000 $-72,186,000 $-16,001,000