Recent Annual Filings for PODD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,588,200,000 $1,697,100,000 $1,482,500,000 $194,300,000 $145,700,000 $-13,600,000 $14,500,000
2022 $2,251,100,000 $1,305,300,000 $1,295,500,000 $26,800,000 $119,000,000 $-40,300,000 $-116,700,000
2021 $2,048,800,000 $1,098,800,000 $1,078,300,000 $9,100,000 $-68,100,000 $40,700,000 $-115,600,000
2020 $1,872,900,000 $904,400,000 $894,700,000 $13,500,000 $84,000,000 $605,500,000 $708,300,000
2019 $1,142,900,000 $738,200,000 $723,700,000 $13,300,000 $98,400,000 $73,500,000 $99,800,000
2018 $928,744,000 $563,823,000 $558,597,000 $880,000 $35,899,000 $-8,665,000 $-158,671,000
2017 $816,744,000 $463,768,000 $490,342,000 $-26,598,000 $41,207,000 $304,547,000 $135,403,000
2016 $456,647,000 $366,989,000 $393,807,000 $-28,951,000 $15,911,000 $176,567,000 $14,502,000