Recent Annual Filings for DIOD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,367,659,000 $1,661,739,000 $1,383,806,000 $215,654,000 $280,914,000 $-144,723,000 $-22,131,000
2022 $2,288,312,000 $2,000,580,000 $1,604,640,000 $261,539,000 $392,501,000 $-125,713,000 $1,525,000
2021 $2,194,495,000 $1,805,162,000 $1,490,067,000 $259,377,000 $338,543,000 $-158,441,000 $35,873,000
2020 $1,979,457,000 $1,229,215,000 $1,108,874,000 $133,762,000 $187,220,000 $-54,302,000 $26,146,000
2019 $1,639,384,000 $1,249,130,000 $1,050,884,000 $147,822,000 $229,772,000 $-112,432,000 $16,914,000
2018 $1,526,371,000 $1,213,989,000 $1,064,027,000 $87,040,000 $185,566,000 $-51,911,000 $44,711,000
2017 $1,488,673,000 $1,054,204,000 $991,613,000 $29,452,000 $181,123,000 $-158,184,000 $-43,982,000
2016 $1,528,552,000 $942,162,000 $917,127,000 $-9,773,000 $124,742,000 $-63,458,000 $29,367,000