Recent Annual Filings for CVLT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,118,266,000 $995,619,000 $914,566,000 $76,415,000 $207,382,000 $-147,818,000 $-10,651,000
2024 $943,913,000 $839,247,000 $755,634,000 $169,014,000 $203,798,000 $-170,581,000 $24,976,000
2023 $782,574,000 $784,590,000 $799,952,000 $-39,961,000 $170,288,000 $-135,579,000 $20,271,000
2022 $816,080,000 $769,591,000 $726,177,000 $32,111,000 $177,180,000 $-276,088,000 $-129,730,000
2021 $904,173,000 $723,472,000 $744,707,000 $-27,881,000 $123,955,000 $-74,738,000 $101,155,000
2020 $845,076,000 $670,885,000 $683,431,000 $-7,500,000 $88,464,000 $-39,403,000 $-31,910,000
2019 $822,453,000 $710,957,000 $700,530,000 $-2,535,000 $110,180,000 $-90,713,000 $-2,792,000
2018 $818,642,000 $699,393,000 $702,893,000 $-55,057,000 $84,169,000 $-82,104,000 $1,293,000