Recent Annual Filings for CGNX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,992,850,000 $914,515,000 $783,026,000 $78,730,000 $149,081,000 $-118,420,000 $-16,561,000
2023 $2,017,812,000 $837,547,000 $702,199,000 $137,195,000 $112,916,000 $-125,605,000 $21,281,000
2022 $1,958,140,000 $1,006,090,000 $755,395,000 $194,170,000 $243,406,000 $-240,374,000 $-4,787,000
2021 $2,003,662,000 $1,037,098,000 $718,198,000 $265,740,000 $314,065,000 $-141,623,000 $-82,912,000
2020 $1,800,702,000 $811,020,000 $624,109,000 $179,660,000 $242,400,000 $-316,868,000 $97,642,000
2019 $1,885,935,000 $725,625,000 $562,631,000 $207,091,000 $253,225,000 $-32,233,000 $63,219,000
2018 $1,289,667,000 $806,338,000 $571,764,000 $213,365,000 $223,454,000 $-209,904,000 $1,630,000
2017 $1,287,870,000 $747,950,000 $481,028,000 $199,007,000 $224,323,000 $-100,121,000 $26,941,000