Recent Annual Filings for ALGN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,083,877,000 $3,862,260,000 $3,221,056,000 $476,505,000 $785,776,000 $-598,340,000 $-3,836,000
2022 $5,947,947,000 $3,734,635,000 $3,135,578,000 $346,963,000 $568,732,000 $-501,686,000 $-157,784,000
2021 $5,942,110,000 $3,952,584,000 $2,940,161,000 $732,845,000 $1,172,544,000 $-458,332,000 $138,665,000
2020 $4,829,683,000 $2,471,941,000 $2,092,992,000 $1,820,077,000 $662,174,000 $-30,808,000 $410,340,000
2019 $2,500,702,000 $2,406,796,000 $1,844,145,000 $444,862,000 $747,270,000 $-485,540,000 $-86,432,000
2018 $2,052,458,000 $1,966,492,000 $1,499,841,000 $396,890,000 $554,681,000 $-369,434,000 $187,441,000
2017 $1,777,856,000 $1,473,413,000 $1,108,614,000 $232,927,000 $438,539,000 $-135,500,000 $60,236,000
2016 $1,396,151,000 $1,079,874,000 $837,308,000 $189,724,000 $247,654,000 $-95,524,000 $221,561,000