Recent Annual Filings for ANET

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $9,946,806,000 $5,860,168,000 $3,438,142,000 $2,117,901,000 $2,034,014,000 $-83,749,000 $1,263,486,000
2022 $6,775,410,000 $4,381,310,000 $2,799,514,000 $1,326,838,000 $492,813,000 $-654,601,000 $50,928,000
2021 $5,734,429,000 $2,948,037,000 $2,017,158,000 $832,316,000 $1,015,856,000 $-360,882,000 $-272,404,000
2020 $4,738,919,000 $2,317,512,000 $1,578,649,000 $634,652,000 $735,114,000 $-346,339,000 $-218,061,000
2019 $4,185,290,000 $2,410,706,000 $1,548,436,000 $864,004,000 $963,034,000 $-217,964,000 $461,351,000
2018 $3,081,983,000 $2,151,369,000 $1,862,568,000 $326,059,000 $503,119,000 $42,851,000 $-210,533,000
2017 $2,460,860,000 $1,646,186,000 $1,171,426,000 $422,738,000 $631,627,000 $51,469,000 $291,269,000
2016 $1,729,007,000 $1,129,167,000 $886,942,000 $183,389,000 $131,440,000 $75,600,000 $-119,403,000