Recent Annual Filings for QCOM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $55,154,000,000 $38,962,000,000 $28,891,000,000 $10,371,000,000 $12,202,000,000 $-9,269,000,000 $-690,000,000
2023 $51,040,000,000 $35,820,000,000 $28,032,000,000 $7,612,000,000 $11,299,000,000 $-6,663,000,000 $5,398,000,000
2022 $49,014,000,000 $44,200,000,000 $28,340,000,000 $12,786,000,000 $9,096,000,000 $-7,196,000,000 $-3,904,000,000
2021 $41,240,000,000 $33,566,000,000 $23,777,000,000 $8,964,000,000 $10,536,000,000 $-6,798,000,000 $409,000,000
2020 $35,594,000,000 $23,531,000,000 $17,276,000,000 $5,305,000,000 $5,814,000,000 $-5,707,000,000 $-5,132,000,000
2019 $32,957,000,000 $24,273,000,000 $16,606,000,000 $4,272,000,000 $7,286,000,000 $-6,386,000,000 $62,000,000
2018 $32,686,000,000 $22,732,000,000 $21,990,000,000 $-4,983,000,000 $3,895,000,000 $-31,487,000,000 $-23,252,000,000
2017 $65,486,000,000 $22,291,000,000 $19,677,000,000 $2,421,000,000 $4,693,000,000 $5,879,000,000 $29,083,000,000