Recent Annual Filings for COHR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,488,634,000 $4,707,688,000 $4,855,335,000 $-268,292,000 $545,731,000 $758,272,000 $953,290,000
2023 $13,711,133,000 $5,160,100,000 $5,515,658,000 $-147,565,000 $634,025,000 $3,554,019,000 $-1,744,805,000
2021 $1,888,930,000 $1,487,468,000 $1,603,006,000 $-101,902,000 $72,938,000 $20,569,000 $17,001,000
2020 $1,827,496,000 $1,228,999,000 $1,671,722,000 $-403,470,000 $206,907,000 $-9,886,000 $126,859,000
2019 $2,083,169,000 $1,430,640,000 $1,370,592,000 $14,656,000 $181,401,000 $-80,515,000 $-5,384,000
2018 $2,259,969,000 $1,902,573,000 $1,541,018,000 $230,285,000 $236,111,000 $-298,998,000 $-133,042,000
2017 $2,337,800,000 $1,723,311,000 $1,421,256,000 $232,328,000 $379,225,000 $505,988,000 $97,094,000
2016 $1,161,148,000 $857,385,000 $734,489,000 $91,715,000 $105,299,000 $17,204,000 $223,740,000