Recent Annual Filings for SWKS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,283,300,000 $4,178,000,000 $3,541,600,000 $596,000,000 $1,824,700,000 $-819,000,000 $649,800,000
2023 $8,426,700,000 $4,772,400,000 $3,693,600,000 $982,000,000 $1,856,400,000 $-1,479,200,000 $152,800,000
2022 $8,873,800,000 $5,485,500,000 $4,008,900,000 $1,278,300,000 $1,424,600,000 $-1,362,600,000 $-316,900,000
2021 $8,590,700,000 $5,109,100,000 $3,510,400,000 $1,498,200,000 $1,772,000,000 $1,677,400,000 $316,200,000
2020 $5,106,700,000 $3,355,700,000 $2,464,000,000 $814,900,000 $1,204,500,000 $-907,700,000 $-284,600,000
2019 $4,839,600,000 $3,376,800,000 $2,415,800,000 $854,400,000 $1,367,400,000 $-912,500,000 $118,000,000
2018 $4,828,900,000 $3,868,000,000 $2,535,900,000 $918,100,000 $1,260,600,000 $-993,700,000 $-883,500,000
2017 $4,573,600,000 $3,651,400,000 $2,394,400,000 $1,012,600,000 $1,471,300,000 $-612,400,000 $533,000,000