Recent Annual Filings for CDNS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,974,482,000 $4,641,264,000 $3,290,501,000 $959,790,000 $1,260,551,000 $1,239,241,000 $1,635,878,000
2023 $5,669,491,000 $4,089,986,000 $2,838,761,000 $1,038,027,000 $1,349,176,000 $-803,573,000 $125,827,000
2022 $5,137,071,000 $3,561,718,000 $2,488,032,000 $790,626,000 $1,241,894,000 $-657,049,000 $-206,615,000
2020 $3,950,785,000 $2,682,891,000 $2,037,339,000 $610,145,000 $904,922,000 $-415,289,000 $223,222,000
2019 $3,357,225,000 $2,336,319,000 $1,844,523,000 $976,833,000 $729,600,000 $-443,886,000 $171,912,000
2018 $2,468,654,000 $2,138,022,000 $1,741,813,000 $327,265,000 $604,751,000 $-567,939,000 $-154,789,000
2017 $2,418,714,000 $1,943,032,000 $1,619,077,000 $225,631,000 $470,740,000 $-70,147,000 $222,855,000
2016 $2,096,908,000 $1,816,083,000 $1,571,182,000 $190,351,000 $444,879,000 $-592,697,000 $-151,454,000