Recent Annual Filings for SPWR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,763,626,000 $1,741,072,000 $1,644,525,000 $60,863,000 $-181,482,000 $-58,070,000 $253,419,000
2022 $1,554,806,000 $1,323,493,000 $1,356,316,000 $-35,673,000 $-44,476,000 $-108,009,000 $-98,191,000
2020 $1,646,482,000 $1,124,829,000 $470,260,000 $474,930,000 $-187,391,000 $-153,852,000 $-211,853,000
2019 $2,171,921,000 $1,864,225,000 $1,838,257,000 $-13,083,000 $-270,413,000 $344,314,000 $94,894,000
2018 $2,352,649,000 $1,726,085,000 $2,624,756,000 $-918,638,000 $-543,389,000 $85,847,000 $-180,574,000
2017 $3,629,314,000 $1,871,813,000 $2,988,877,000 $-1,088,680,000 $-267,412,000 $589,932,000 $30,125,000
2015 $4,856,993,000 $1,576,473,000 $1,818,784,000 $-294,004,000 $-726,231,000 $619,967,000 $-1,647,000
2014 $4,357,182,000 $3,027,265,000 $2,842,651,000 $173,958,000 $8,360,000 $498,566,000 $193,664,000