Recent Annual Filings for AMAT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $34,409,000,000 $27,176,000,000 $19,024,000,000 $7,226,000,000 $8,677,000,000 $-4,470,000,000 $1,880,000,000
2023 $30,729,000,000 $26,517,000,000 $18,801,000,000 $6,841,000,000 $8,700,000,000 $-3,032,000,000 $4,133,000,000
2022 $26,726,000,000 $25,785,000,000 $18,186,000,000 $6,583,000,000 $5,399,000,000 $-7,043,000,000 $-3,001,000,000
2021 $25,825,000,000 $23,063,000,000 $16,292,000,000 $5,927,000,000 $5,442,000,000 $-4,591,000,000 $-365,000,000
2020 $22,353,000,000 $17,202,000,000 $13,036,000,000 $3,500,000,000 $3,804,000,000 $-1,337,000,000 $2,337,000,000
2019 $19,024,000,000 $14,608,000,000 $11,339,000,000 $2,668,000,000 $3,247,000,000 $-3,115,000,000 $-311,000,000
2018 $17,773,000,000 $17,253,000,000 $12,559,000,000 $3,249,000,000 $3,787,000,000 $-5,928,000,000 $-1,570,000,000
2017 $19,419,000,000 $14,537,000,000 $10,806,000,000 $3,485,000,000 $3,609,000,000 $521,000,000 $1,604,000,000