Recent Annual Filings for VIAV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,736,300,000 $1,000,400,000 $988,800,000 $-33,800,000 $116,400,000 $-125,700,000 $-33,800,000
2023 $1,850,500,000 $1,106,100,000 $1,045,400,000 $45,900,000 $114,100,000 $-50,000,000 $-57,200,000
2022 $1,827,900,000 $1,292,400,000 $1,227,300,000 $-43,700,000 $178,100,000 $-210,400,000 $-135,600,000
2021 $1,961,400,000 $1,198,900,000 $1,089,500,000 $114,800,000 $243,300,000 $-58,800,000 $161,000,000
2020 $1,776,300,000 $1,136,300,000 $1,042,300,000 $-2,600,000 $135,600,000 $-71,700,000 $17,000,000
2019 $1,815,100,000 $1,130,300,000 $1,091,000,000 $-26,300,000 $138,800,000 $-300,400,000 $-93,900,000
2018 $2,022,600,000 $880,400,000 $913,000,000 $-56,000,000 $66,000,000 $-180,500,000 $-393,000,000
2017 $2,110,500,000 $811,400,000 $624,800,000 $64,500,000 $80,000,000 $325,300,000 $521,500,000