Recent Annual Filings for CRDO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $601,932,000 $192,970,000 $215,715,000 $-28,697,000 $32,737,000 $175,276,000 $-41,641,000
2023 $397,289,000 $184,194,000 $202,108,000 $-16,761,000 $-24,615,000 $4,885,000 $-150,739,000
2022 $375,689,000 $106,477,000 $128,690,000 $-22,380,000 $-30,832,000 $204,181,000 $155,565,000