Recent Annual Filings for MXL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,080,257,000 $693,263,000 $757,073,000 $-75,917,000 $43,372,000 $-26,356,000 $-1,000
2022 $1,180,025,000 $1,120,252,000 $946,054,000 $121,894,000 $388,726,000 $-240,401,000 $56,619,000
2021 $1,050,384,000 $892,398,000 $844,528,000 $42,659,000 $168,233,000 $-91,903,000 $-18,296,000
2020 $1,022,442,000 $478,596,000 $593,448,000 $-96,271,000 $73,593,000 $159,649,000 $56,917,000
2019 $705,791,000 $317,180,000 $349,664,000 $-21,057,000 $78,348,000 $-53,383,000 $18,926,000
2018 $738,831,000 $384,997,000 $417,849,000 $-27,069,000 $102,689,000 $-93,784,000 $-221,000
2017 $824,862,000 $420,318,000 $454,316,000 $-6,588,000 $75,064,000 $347,021,000 $-8,484,000
2016 $422,652,000 $387,832,000 $324,142,000 $60,554,000 $117,317,000 $-670,000 $14,940,000