Recent Annual Filings for CRUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,231,576,000 $1,788,890,000 $1,424,954,000 $274,508,000 $421,674,000 $-201,682,000 $56,980,000
2023 $2,063,966,000 $1,897,617,000 $1,642,878,000 $176,209,000 $339,568,000 $-230,268,000 $75,970,000
2022 $2,123,400,000 $1,781,460,000 $1,412,797,000 $321,435,000 $124,753,000 $-178,731,000 $-72,350,000
2021 $1,830,614,000 $1,369,230,000 $1,123,984,000 $223,688,000 $348,945,000 $-121,225,000 $150,045,000
2020 $1,592,677,000 $1,281,124,000 $1,099,858,000 $157,095,000 $295,815,000 $-119,647,000 $75,947,000
2019 $1,352,640,000 $1,185,524,000 $1,091,780,000 $100,286,000 $206,694,000 $-171,464,000 $-19,432,000
2018 $1,430,117,000 $1,532,186,000 $1,267,087,000 $151,207,000 $318,711,000 $-249,557,000 $-115,562,000
2017 $1,413,470,000 $1,538,940,000 $1,223,893,000 $260,304,000 $369,751,000 $-117,513,000 $182,373,000