Recent Annual Filings for IPGP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,289,264,000 $977,134,000 $1,139,022,000 $-88,363,000 $247,896,000 $-339,621,000 $105,366,000
2023 $2,698,898,000 $1,287,439,000 $1,012,564,000 $210,872,000 $295,986,000 $-236,380,000 $-183,535,000
2022 $2,743,280,000 $1,429,547,000 $1,246,196,000 $96,260,000 $212,649,000 $-514,549,000 $-10,896,000
2021 $3,170,540,000 $1,460,860,000 $1,094,379,000 $233,877,000 $389,700,000 $-125,066,000 $-169,448,000
2020 $2,935,700,000 $1,200,724,000 $995,032,000 $161,001,000 $285,335,000 $-10,080,000 $195,569,000
2019 $2,730,436,000 $1,314,581,000 $1,066,205,000 $196,241,000 $323,521,000 $-37,067,000 $138,626,000
2018 $2,574,450,000 $1,459,874,000 $925,479,000 $318,604,000 $393,301,000 $-166,647,000 $-365,542,000
2017 $2,367,255,000 $1,408,889,000 $857,018,000 $448,827,000 $405,395,000 $-3,372,000 $286,045,000