Recent Annual Filings for QRVO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $5,933,131,000 $3,718,971,000 $3,653,072,000 $55,699,000 $622,202,000 $-684,362,000 $-28,082,000
2024 $6,554,635,000 $3,769,506,000 $3,695,946,000 $-72,244,000 $833,189,000 $-459,574,000 $240,315,000
2023 $6,691,903,000 $3,569,399,000 $3,444,770,000 $94,745,000 $843,231,000 $-853,353,000 $-163,862,000
2022 $7,509,072,000 $4,645,714,000 $3,464,630,000 $1,008,936,000 $1,049,243,000 $-875,510,000 $-425,504,000
2021 $7,221,470,000 $4,015,307,000 $3,207,927,000 $760,972,000 $1,301,853,000 $-401,923,000 $682,697,000
2020 $6,560,682,000 $3,239,141,000 $2,844,052,000 $343,237,000 $945,646,000 $165,559,000 $4,230,000
2019 $5,808,024,000 $3,090,325,000 $2,998,533,000 $129,253,000 $810,364,000 $-776,664,000 $-215,020,000
2018 $6,381,519,000 $2,973,536,000 $2,956,391,000 $-38,734,000 $852,520,000 $-196,848,000 $380,623,000