Recent Annual Filings for ENPH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,383,012,000 $2,290,786,000 $1,777,647,000 $447,830,000 $696,780,000 $-516,774,000 $-184,496,000
2022 $3,084,280,000 $2,330,853,000 $1,878,805,000 $388,500,000 $744,817,000 $-17,126,000 $353,928,000
2021 $2,079,256,000 $1,382,049,000 $1,261,121,000 $142,995,000 $352,028,000 $309,411,000 $-560,063,000
2020 $1,200,102,000 $774,425,000 $655,015,000 $135,352,000 $216,334,000 $191,678,000 $383,270,000
2019 $713,223,000 $624,333,000 $534,219,000 $159,483,000 $139,067,000 $65,850,000 $189,872,000
2018 $339,937,000 $316,159,000 $326,388,000 $-10,229,000 $16,132,000 $80,614,000 $77,093,000
2017 $169,147,000 $286,166,000 $331,507,000 $-45,556,000 $-28,442,000 $43,297,000 $11,380,000
2016 $163,576,000 $322,591,000 $388,578,000 $-67,544,000 $-32,953,000 $34,375,000 $-10,688,000