Recent Annual Filings for MRVL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $20,204,500,000 $5,767,300,000 $3,102,500,000 $-885,700,000 $1,681,200,000 $-1,383,000,000 $-2,500,000
2024 $21,228,500,000 $5,507,700,000 $2,861,300,000 $-932,300,000 $1,370,500,000 $-980,200,000 $39,800,000
2023 $22,522,100,000 $5,919,600,000 $2,749,500,000 $-163,500,000 $1,288,800,000 $-662,900,000 $297,500,000
2022 $22,108,597,000 $4,462,383,000 $2,411,893,000 $-421,034,000 $819,368,000 $2,790,828,000 $-134,934,000
2021 $10,764,924,000 $2,968,900,000 $1,746,739,000 $-277,298,000 $817,287,000 $-596,780,000 $100,863,000
2020 $11,133,235,000 $2,699,161,000 $1,600,299,000 $1,584,391,000 $360,297,000 $-853,949,000 $65,194,000
2019 $10,016,752,000 $2,865,791,000 $1,415,122,000 $-176,772,000 $596,744,000 $849,737,000 $-306,072,000
2018 $4,708,287,000 $2,409,170,000 $1,032,245,000 $518,486,000 $571,113,000 $-536,244,000 $74,390,000