Recent Annual Filings for ANSS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,051,431,000 $2,544,809,000 $1,826,771,000 $518,383,000 $795,740,000 $-98,544,000 $586,542,000
2023 $7,322,875,000 $2,269,949,000 $1,677,811,000 $532,863,000 $717,122,000 $-231,319,000 $245,810,000
2022 $6,687,945,000 $2,065,553,000 $1,490,238,000 $457,100,000 $631,003,000 $-245,508,000 $-53,276,000
2021 $6,324,314,000 $1,906,715,000 $1,391,361,000 $416,290,000 $549,482,000 $-245,852,000 $-245,005,000
2020 $5,940,590,000 $1,681,297,000 $1,187,372,000 $481,493,000 $547,310,000 $96,597,000 $40,578,000
2019 $4,838,887,000 $1,515,892,000 $993,309,000 $448,293,000 $499,936,000 $429,409,000 $94,955,000
2018 $3,265,964,000 $1,293,636,000 $806,551,000 $394,840,000 $486,437,000 $-262,675,000 $-104,362,000
2017 $2,941,623,000 $1,095,250,000 $699,556,000 $279,059,000 $430,438,000 $-294,651,000 $59,022,000