Recent Annual Filings for MCHP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,873,200,000 $7,634,400,000 $5,268,500,000 $1,907,500,000 $2,892,700,000 $-2,414,900,000 $85,700,000
2023 $16,370,300,000 $8,438,700,000 $5,529,000,000 $2,254,200,000 $3,621,000,000 $-3,104,900,000 $-83,400,000
2022 $16,199,500,000 $6,820,900,000 $5,338,400,000 $1,291,100,000 $2,842,700,000 $-2,327,600,000 $37,400,000
2021 $16,478,800,000 $5,438,400,000 $5,098,900,000 $344,800,000 $1,916,500,000 $-1,864,200,000 $-121,000,000
2020 $17,426,100,000 $5,274,200,000 $5,123,800,000 $571,000,000 $1,543,800,000 $-1,438,200,000 $-27,600,000
2019 $18,350,000,000 $5,349,500,000 $5,145,000,000 $354,500,000 $1,674,800,000 $4,663,500,000 $-472,700,000
2018 $8,257,200,000 $3,980,800,000 $3,243,500,000 $252,200,000 $1,419,600,000 $-415,300,000 $-7,400,000
2017 $7,686,881,000 $3,407,807,000 $3,318,020,000 $153,618,000 $1,068,800,000 $595,461,000 $-1,184,067,000