Recent Annual Filings for AVGO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $165,645,000,000 $51,574,000,000 $41,658,000,000 $5,895,000,000 $19,962,000,000 $-1,733,000,000 $-4,841,000,000
2023 $72,861,000,000 $35,819,000,000 $20,722,000,000 $14,343,000,000 $18,085,000,000 $-15,623,000,000 $1,773,000,000
2022 $73,249,000,000 $33,203,000,000 $20,769,000,000 $11,557,000,000 $16,736,000,000 $-15,816,000,000 $253,000,000
2021 $75,570,000,000 $27,450,000,000 $20,685,000,000 $6,728,000,000 $13,764,000,000 $-8,974,000,000 $4,545,000,000
2020 $75,933,000,000 $23,888,000,000 $21,445,000,000 $2,984,000,000 $12,061,000,000 $1,611,000,000 $2,563,000,000
2019 $67,493,000,000 $22,597,000,000 $20,371,000,000 $2,700,000,000 $9,697,000,000 $6,488,000,000 $763,000,000
2018 $50,124,000,000 $20,848,000,000 $16,303,000,000 $12,602,000,000 $8,880,000,000 $-11,118,000,000 $-6,912,000,000
2017 $54,418,000,000 $17,636,000,000 $15,811,000,000 $1,827,000,000 $6,551,000,000 $2,230,000,000 $8,107,000,000