Recent Annual Filings for CIEN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,601,495,000 $4,386,549,000 $4,062,896,000 $263,705,000 $168,332,000 $229,380,000 $16,408,000
2022 $5,069,632,000 $3,632,661,000 $3,450,156,000 $105,818,000 $-167,756,000 $-133,055,000 $-428,226,000
2021 $4,865,227,000 $3,620,684,000 $3,157,933,000 $535,993,000 $541,646,000 $-116,835,000 $333,896,000
2020 $4,180,917,000 $3,532,157,000 $3,076,196,000 $348,017,000 $493,654,000 $-87,222,000 $184,547,000
2019 $3,893,346,000 $3,572,131,000 $3,258,941,000 $237,130,000 $413,140,000 $-278,966,000 $158,727,000
2018 $3,756,523,000 $3,094,286,000 $2,945,505,000 $-339,453,000 $229,261,000 $-99,229,000 $104,910,000
2017 $3,951,711,000 $2,801,687,000 $2,645,561,000 $1,275,265,000 $234,882,000 $-311,051,000 $-137,102,000
2016 $2,882,442,000 $2,600,573,000 $2,513,855,000 $70,381,000 $289,520,000 $-4,228,000 $-13,356,000