Recent Annual Filings for SYNA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,825,000,000 $959,400,000 $1,084,000,000 $125,600,000 $135,900,000 $-25,100,000 $-47,800,000
2023 $2,611,400,000 $1,355,100,000 $1,229,100,000 $75,400,000 $331,500,000 $-221,300,000 $104,200,000
2022 $2,858,100,000 $1,739,700,000 $1,419,200,000 $255,700,000 $462,700,000 $14,300,000 $-12,300,000
2021 $2,226,800,000 $1,339,600,000 $1,219,500,000 $79,600,000 $319,200,000 $274,100,000 $72,900,000
2020 $1,693,800,000 $1,333,900,000 $1,174,500,000 $118,800,000 $221,800,000 $93,900,000 $435,600,000
2019 $1,409,800,000 $1,472,200,000 $1,493,000,000 $-24,400,000 $154,200,000 $-106,600,000 $26,800,000
2018 $1,499,800,000 $1,630,300,000 $1,712,100,000 $-124,100,000 $145,000,000 $226,700,000 $-66,800,000
2017 $1,266,700,000 $1,718,200,000 $1,656,900,000 $47,000,000 $152,900,000 $-94,100,000 $15,600,000