Recent Annual Filings for ILMN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,303,000,000 $4,372,000,000 $5,551,000,000 $-1,200,000,000 $837,000,000 $-570,000,000 $79,000,000
2023 $10,111,000,000 $4,504,000,000 $5,621,000,000 $-1,165,000,000 $478,000,000 $-1,210,000,000 $-963,000,000
2022 $15,217,000,000 $4,526,000,000 $3,642,000,000 $777,000,000 $545,000,000 $-51,000,000 $-578,000,000
2020 $7,585,000,000 $3,239,000,000 $2,383,000,000 $653,000,000 $1,080,000,000 $-766,000,000 $-232,000,000
2019 $7,316,000,000 $3,543,000,000 $2,425,000,000 $996,000,000 $1,051,000,000 $-897,000,000 $898,000,000
2018 $6,959,000,000 $3,333,000,000 $2,439,000,000 $782,000,000 $1,142,000,000 $594,000,000 $-81,000,000
2017 $5,257,000,000 $2,752,000,000 $1,709,000,000 $678,000,000 $875,000,000 $-176,000,000 $490,000,000
2015 $3,687,747,000 $2,219,762,000 $1,636,620,000 $458,506,000 $659,596,000 $-418,762,000 $132,616,000