Recent Annual Filings for RBBN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,144,153,000 $826,339,000 $881,712,000 $-83,004,000 $17,087,000 $-47,859,000 $-40,632,000
2022 $1,255,564,000 $819,760,000 $932,359,000 $-75,076,000 $-26,364,000 $931,000 $-39,223,000
2021 $1,347,737,000 $844,957,000 $1,053,100,000 $-164,665,000 $19,182,000 $-33,683,000 $-29,212,000
2020 $1,547,265,000 $843,795,000 $750,478,000 $81,122,000 $101,564,000 $319,303,000 $91,054,000
2019 $814,908,000 $563,111,000 $686,004,000 $-131,251,000 $55,685,000 $-51,277,000 $949,000
2018 $957,159,000 $577,905,000 $651,315,000 $-76,176,000 $-9,595,000 $31,773,000 $-13,379,000
2017 $910,883,000 $329,942,000 $383,634,000 $-37,624,000 $8,080,000 $-4,484,000 $25,150,000