Recent Annual Filings for ONTO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,117,091,000 $987,321,000 $766,874,000 $195,706,000 $245,676,000 $-35,673,000 $-16,544,000
2023 $1,909,712,000 $815,868,000 $683,286,000 $123,270,000 $171,973,000 $-9,475,000 $59,111,000
2022 $1,649,813,000 $788,899,000
2020 $1,468,172,000
2019 $1,448,580,000 $305,896,000 $306,493,000 $2,575,000 $18,146,000 $-4,198,000 $18,052,000