Recent Annual Filings for SMTC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,419,264,000 $909,287,000 $1,092,648,000 $-170,982,000 $57,987,000 $-21,660,000 $24,440,000
2024 $1,373,735,000 $868,758,000 $1,910,313,000 $-1,098,382,000 $-93,920,000 $10,550,000 $-106,067,000
2023 $2,569,628,000 $756,533,000 $678,066,000 $66,807,000 $126,711,000 $1,076,520,000 $-44,091,000
2022 $1,130,911,000 $740,858,000 $601,789,000 $131,738,000 $203,123,000 $-152,097,000 $10,710,000
2021 $1,082,102,000 $595,117,000 $532,142,000 $57,865,000 $118,930,000 $-100,454,000 $-24,433,000
2020 $1,052,433,000 $547,512,000 $502,927,000 $29,307,000 $118,616,000 $-103,078,000 $-18,796,000
2019 $1,062,881,000 $627,196,000 $564,098,000 $60,649,000 $183,563,000 $-143,148,000 $4,197,000
2018 $1,085,776,000 $587,847,000 $527,976,000 $36,520,000 $111,485,000 $-34,840,000 $10,789,000