Recent Annual Filings for OLED

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,832,333,000 $647,684,000 $375,556,000 $222,110,000 $253,740,000 $-82,335,000 $6,995,000
2023 $1,668,961,000 $576,429,000 $331,258,000 $220,377,000 $154,777,000 $-72,929,000 $-1,445,000
2022 $1,532,820,000 $616,619,000 $348,389,000 $209,844,000 $126,815,000 $-64,635,000 $-218,563,000
2021 $1,466,919,000 $553,525,000 $325,278,000 $201,997,000 $191,105,000 $-51,373,000 $-318,019,000
2020 $1,269,228,000 $428,867,000 $265,338,000 $114,350,000 $148,792,000 $-41,663,000 $498,385,000
2019 $1,120,157,000 $405,177,000 $235,272,000 $137,541,000 $193,912,000 $-34,593,000 $-79,395,000
2018 $933,424,000 $247,414,000 $183,103,000 $54,070,000 $121,796,000 $-22,613,000 $78,182,000
2017 $779,956,000 $335,629,000 $186,092,000 $103,087,000 $133,365,000 $-14,312,000 $-6,525,000