Recent Annual Filings for KLAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,433,566,000 $9,812,247,000 $6,622,215,000 $2,749,162,000 $3,308,575,000 $-1,776,017,000 $49,264,000
2023 $14,072,357,000 $10,496,056,000 $6,706,866,000 $3,378,481,000 $3,669,805,000 $-2,830,289,000 $342,957,000
2022 $12,597,088,000 $9,211,883,000 $5,722,646,000 $3,370,146,000 $3,312,702,000 $-2,257,005,000 $150,298,000
2021 $10,271,124,000 $6,918,734,000 $4,558,280,000 $2,081,570,000 $2,185,026,000 $-1,497,881,000 $200,201,000
2020 $9,279,960,000 $5,806,424,000 $4,489,713,000 $1,208,280,000 $1,778,850,000 $-1,299,635,000 $218,415,000
2019 $9,008,516,000 $4,568,904,000 $3,272,673,000 $1,166,766,000 $1,152,632,000 $-360,005,000 $-388,388,000
2018 $5,619,356,000 $4,036,701,000 $2,580,770,000 $799,655,000 $1,229,120,000 $-1,270,103,000 $251,331,000
2017 $5,532,173,000 $3,480,014,000 $2,306,768,000 $923,438,000 $1,079,665,000 $-472,805,000 $44,563,000