Recent Annual Filings for KLIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,240,162,000 $706,232,000 $764,587,000 $-60,666,000 $31,037,000 $-196,100,000 $-302,255,000
2023 $1,499,777,000 $742,491,000 $670,290,000 $68,286,000 $173,404,000 $-111,876,000 $-26,135,000
2022 $1,588,599,000 $1,503,620,000 $1,026,632,000 $403,667,000 $390,188,000 $-321,191,000 $192,749,000
2021 $1,601,631,000 $1,517,664,000 $1,103,114,000 $366,660,000 $300,032,000 $-44,258,000 $174,661,000
2020 $1,054,566,000 $623,176,000 $558,842,000 $59,719,000 $94,412,000 $-145,809,000 $-176,057,000
2019 $1,079,616,000 $540,052,000 $505,365,000 $5,615,000 $65,967,000 $-71,318,000 $43,036,000
2018 $1,185,740,000 $889,121,000 $711,572,000 $50,735,000 $123,499,000 $-99,135,000 $-71,792,000
2017 $1,171,107,000 $809,041,000 $705,355,000 $116,776,000 $136,310,000 $-22,684,000 $-31,497,000