Recent Annual Filings for SEDG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,630,195,000 $901,456,000 $2,609,767,000 $-1,835,949,000 $-313,319,000 $-20,129,000 $71,471,000
2023 $4,587,731,000 $2,976,528,000 $2,895,429,000 $60,553,000 $-180,113,000 $-11,956,000 $-444,644,000
2022 $4,265,949,000 $3,110,279,000 $2,933,124,000 $47,989,000 $31,284,000 $654,607,000 $268,847,000
2021 $2,892,060,000 $1,963,865,000 $1,776,641,000 $137,994,000 $214,129,000 $-15,178,000 $-297,057,000
2020 $2,437,109,000 $1,459,271,000 $1,295,605,000 $145,988,000 $222,655,000 $640,484,000 $603,245,000
2019 $1,494,624,000 $1,425,660,000 $1,247,057,000 $144,653,000 $259,000,000 $-73,021,000 $36,137,000
2018 $964,472,000 $937,237,000 $800,114,000 $127,983,000 $189,079,000 $-7,955,000 $28,496,000
2017 $641,305,000 $607,045,000 $506,801,000 $83,885,000 $136,665,000 $7,240,000 $58,498,000