Recent Annual Filings for LITE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,931,900,000 $1,359,200,000 $1,793,200,000 $-541,300,000 $24,700,000 $-332,700,000 $-422,300,000
2023 $4,632,100,000 $1,767,000,000 $1,882,700,000 $-127,900,000 $179,800,000 $263,000,000 $-431,200,000
2022 $4,162,200,000 $1,712,600,000 $1,409,300,000 $191,100,000 $459,300,000 $282,900,000 $515,900,000
2021 $3,551,600,000 $1,742,800,000 $1,215,800,000 $397,600,000 $738,700,000 $-263,400,000 $476,300,000
2020 $3,292,600,000 $1,678,600,000 $1,474,500,000 $136,300,000 $524,300,000 $328,800,000 $-134,600,000
2019 $2,716,600,000 $1,565,300,000 $1,598,600,000 $-35,700,000 $330,100,000 $485,100,000 $35,300,000
2018 $1,581,500,000 $1,247,700,000 $1,118,300,000 $247,100,000 $247,500,000 $3,800,000 $124,400,000
2017 $1,232,900,000 $1,001,600,000 $1,061,400,000 $-104,500,000 $85,000,000 $456,700,000 $115,800,000