Recent Annual Filings for MTSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,755,640,000 $729,578,000 $638,052,000 $82,999,000 $162,640,000 $-9,064,000 $-27,146,000
2023 $1,553,244,000 $648,407,000 $533,249,000 $93,793,000 $166,917,000 $-149,020,000 $54,000,000
2022 $1,571,817,000 $675,170,000 $432,050,000 $429,954,000 $176,982,000 $-28,908,000 $-36,585,000
2021 $1,134,145,000 $606,920,000 $563,975,000 $37,114,000 $148,412,000 $-119,095,000 $27,096,000
2020 $1,146,428,000 $530,037,000 $571,599,000 $-45,427,000 $171,397,000 $-10,716,000 $53,922,000
2019 $1,105,574,000 $499,708,000 $922,861,000 $-381,628,000 $20,700,000 $-5,828,000 $-19,157,000
2018 $1,482,495,000 $570,398,000 $725,633,000 $-140,766,000 $36,293,000 $-4,451,000 $-35,428,000
2017 $1,637,123,000 $698,772,000 $748,277,000 $-175,555,000 $61,050,000 $73,653,000 $-202,873,000