Recent Annual Filings for SLAB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,222,674,000 $584,386,000 $739,199,000 $-189,915,000 $-13,910,000 $-45,104,000 $54,103,000
2023 $1,443,056,000 $782,258,000 $808,831,000 $-24,853,000 $-30,348,000 $-711,871,000 $-272,411,000
2022 $2,169,428,000 $1,024,106,000 $894,254,000 $83,133,000 $71,807,000 $-887,053,000 $-574,708,000
2020 $1,993,487,000 $886,677,000 $871,376,000 $13,699,000 $135,718,000 $200,867,000 $-24,426,000
2019 $1,674,853,000 $837,554,000 $787,905,000 $21,485,000 $166,522,000 $-29,647,000 $30,103,000
2018 $1,624,354,000 $868,267,000 $796,106,000 $83,424,000 $173,542,000 $-48,836,000 $-72,323,000
2017 $1,535,082,000 $768,867,000 $691,964,000 $45,443,000 $189,521,000 $313,030,000 $128,260,000
2016 $1,081,844,000 $697,626,000 $633,130,000 $62,493,000 $128,910,000 $-52,305,000 $27,021,000