Recent Annual Filings for POWI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $828,826,000 $418,973,000 $388,219,000 $30,673,000 $81,181,000 $-68,218,000 $-12,957,000
2023 $819,868,000 $444,538,000 $398,631,000 $61,617,000 $65,759,000 $-93,049,000 $-41,443,000
2022 $840,096,000 $651,138,000 $467,712,000 $167,244,000 $215,343,000 $-346,424,000 $-52,745,000
2021 $1,014,487,000 $703,277,000 $527,142,000 $162,839,000 $230,868,000 $-98,827,000 $-100,757,000
2020 $903,339,000 $488,318,000 $413,067,000 $72,143,000 $125,639,000 $-17,190,000 $80,184,000
2019 $803,896,000 $420,669,000 $198,255,000 $192,027,000 $224,499,000 $-17,900,000 $44,553,000
2018 $588,697,000 $415,955,000 $356,191,000 $70,434,000 $83,964,000 $-112,623,000 $40,482,000
2017 $621,074,000 $431,755,000 $371,456,000 $28,180,000 $82,039,000 $-15,802,000 $31,521,000