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Viavi Solutions (VIAV)

Viavi Solutions (VIAV)
10.22 +0.18 (+1.79%) 01/17/25 [NASDAQ]
N/A x N/A N/A x N/A
Realtime by (Cboe BZX)
N/A x N/A N/A x N/A
Realtime 10.21 -0.01 (-0.10%) 01/17/25
Financial Summary for Fri, Jan 17th, 2025
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Viavi Solutions Inc. is a leading provider of network test, monitoring and service enablement solutions to diverse sectors across the globe. The product portfolio of the company offers end-to-end network visibility and analytics that help build, test, certify, maintain, and optimize complex physical and virtual networks. Viavi also offers high-performance thin film optical coatings for light-management solutions used in anti-counterfeiting, 3D sensing, electronics, automotive, defense and instrumentation markets. The company has three operating segments: Network Enablement, Service Enablement, and Optical Security and Performance Products. It provides an integrated portfolio of testing solutions that access the network to perform installation and maintenance tasks. These include instruments, software and services to design, build, certify, troubleshoot, and optimize networks and verify the integrity of the information being transmitted across the network.

Fiscal Year End Date: 06/30

(Values in U.S. Thousands) Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021 Jun, 2020
Sales 1,000,400 1,106,100 1,292,400 1,198,900 1,136,300
Sales Growth -9.56% -14.42% +7.80% +5.51% +0.53%
Net Income -25,800 25,500 15,500 46,100 28,700
Net Income Growth -201.18% +64.52% -66.38% +60.63% +431.48%
(Values in U.S. Thousands) Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021 Jun, 2020
Total Assets 1,736,300 1,850,500 1,827,900 1,961,400 1,776,300
Total Assets Growth -6.17% +1.24% -6.81% +10.42% -2.14%
Total Liabilities 1,054,700 1,159,700 1,156,200 1,186,600 1,064,900
Total Liabilities Growth -9.05% +0.30% -2.56% +11.43% -2.24%
(Values in U.S. Thousands) Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021 Jun, 2020
Operating Cash Flow 116,400 114,100 178,100 243,300 135,600
Operating Cash Flow Growth +2.02% -35.93% -26.80% +79.42% -2.31%
Net Cash Flow -33,800 -57,200 -135,600 161,000 17,000
Change in Net Cash Flow +40.91% +57.82% -184.22% +847.06% +118.10%
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