Recent Annual Filings for MPWR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,434,353,000 $1,821,072,000 $1,315,231,000 $423,389,000 $638,213,000 $-183,725,000 $272,452,000
2022 $2,058,885,000 $1,794,148,000 $1,269,211,000 $398,715,000 $246,674,000 $-128,785,000 $99,340,000
2021 $1,585,825,000 $1,207,798,000 $935,579,000 $247,763,000 $320,010,000 $-90,206,000 $-145,682,000
2020 $1,208,491,000 $844,452,000 $675,110,000 $179,991,000 $267,803,000 $-71,557,000 $161,995,000
2019 $956,375,000 $627,921,000 $514,801,000 $108,906,000 $216,303,000 $-48,050,000 $258,000
2018 $793,432,000 $582,382,000 $463,900,000 $97,912,000 $141,451,000 $-34,559,000 $89,944,000
2017 $652,569,000 $470,929,000 $387,985,000 $71,231,000 $133,821,000 $-31,325,000 $-29,944,000
2016 $511,126,000 $388,665,000 $331,401,000 $47,039,000 $107,786,000 $-28,127,000 $21,843,000