Recent Annual Filings for FFIV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,613,004,000 $2,816,120,000 $2,120,655,000 $569,087,000 $792,419,000 $-457,002,000 $277,505,000
2023 $5,248,333,000 $2,813,169,000 $2,327,181,000 $397,903,000 $653,409,000 $-653,299,000 $38,628,000
2022 $5,276,194,000 $2,695,845,000 $2,310,452,000 $316,057,000 $442,631,000 $-476,508,000 $177,874,000
2021 $4,997,280,000 $2,603,416,000 $2,216,479,000 $329,884,000 $645,196,000 $-468,280,000 $-268,493,000
2020 $4,677,920,000 $2,350,822,000 $1,954,425,000 $307,915,000 $660,898,000 $337,243,000 $250,572,000
2019 $3,390,275,000 $2,242,447,000 $1,701,336,000 $430,722,000 $747,841,000 $-155,447,000 $176,360,000
2018 $2,605,476,000 $2,161,407,000 $1,557,647,000 $449,508,000 $761,068,000 $-551,263,000 $-246,182,000
2017 $2,480,800,000 $2,090,041,000 $1,514,524,000 $415,958,000 $740,281,000 $-546,032,000 $161,964,000