Recent Annual Filings for NVDA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $111,601,000,000 $130,497,000,000 $46,471,000,000 $72,881,000,000 $64,089,000,000 $-42,359,000,000 $1,309,000,000
2024 $65,728,000,000 $60,922,000,000 $27,104,000,000 $29,830,000,000 $28,090,000,000 $-13,633,000,000 $3,891,000,000
2023 $41,182,000,000 $26,974,000,000 $22,793,000,000 $4,336,000,000 $5,641,000,000 $-11,617,000,000 $1,399,000,000
2022 $44,187,000,000 $26,914,000,000 $16,973,000,000 $9,722,000,000 $9,108,000,000 $1,865,000,000 $1,143,000,000
2021 $28,791,000,000 $16,675,000,000 $12,266,000,000 $4,350,000,000 $5,822,000,000 $3,804,000,000 $-10,049,000,000
2020 $17,315,000,000 $10,918,000,000 $7,948,000,000 $2,809,000,000 $4,761,000,000 $-792,000,000 $10,114,000,000
2019 $13,292,000,000 $11,716,000,000 $7,820,000,000 $4,147,000,000 $3,743,000,000 $-2,866,000,000 $-3,220,000,000
2018 $11,241,000,000 $9,714,000,000 $6,518,000,000 $3,045,000,000 $3,502,000,000 $-2,544,000,000 $2,236,000,000