Annual CFF:
-$1.38B-$402.80M(-41.09%)Summary
- As of today, MRVL annual cash from financing is -$1.38 billion, with the most recent change of -$402.80 million (-41.09%) on January 1, 2025.
- During the last 3 years, MRVL annual cash from financing has fallen by -$4.17 billion (-149.56%).
- MRVL annual cash from financing is now -149.56% below its all-time high of $2.79 billion, reached on January 29, 2022.
Performance
MRVL Cash From Financing Chart
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Quarterly CFF:
-$45.90M+$255.30M(+84.76%)Summary
- As of today, MRVL quarterly cash from financing is -$45.90 million, with the most recent change of +$255.30 million (+84.76%) on July 1, 2025.
- Over the past year, MRVL quarterly cash from financing has increased by +$246.50 million (+84.30%).
- MRVL quarterly cash from financing is now -101.35% below its all-time high of $3.41 billion, reached on April 1, 2021.
Performance
MRVL Quarterly Cash From Financing Chart
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TTM CFF:
-$1.11B+$246.50M(+18.15%)Summary
- As of today, MRVL TTM cash from financing is -$1.11 billion, with the most recent change of +$246.50 million (+18.15%) on July 1, 2025.
- Over the past year, MRVL TTM cash from financing has dropped by -$102.50 million (-10.15%).
- MRVL TTM cash from financing is now -137.43% below its all-time high of $2.97 billion, reached on April 1, 2021.
Performance
MRVL TTM Cash From Financing Chart
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Cash From Financing Formula
CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities
MRVL Cash From Financing Trends
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1Y1 Year | -41.1% | +84.3% | -10.2% |
3Y3 Years | -149.6% | +7.3% | -41.6% |
5Y5 Years | -62.0% | -11.3% | -37.5% |
MRVL Cash From Financing Highs & Lows
PeriodPeriod | Annual vs HighAnnual vs High | Annual vs LowAnnual vs Low | Quarter. vs HighQuarter. vs High | Quarter. vs LowQuarter. vs Low | TTM vs HighTTM vs High | TTM vs LowTTM vs Low | |
---|---|---|---|---|---|---|---|
3Y | 3-Year | -149.6% | at low | -495.7% | +92.4% | -184.8% | +19.6% |
5Y | 5-Year | -149.6% | at low | -101.3% | +92.4% | -137.4% | +19.6% |
All-Time | All-Time | -149.6% | at low | -101.3% | +95.1% | -137.4% | +19.6% |
MRVL Cash From Financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Jul 2025 | - | -$45.90M(+84.8%) | -$1.11B(+18.1%) |
Apr 2025 | - | -$301.20M(+17.1%) | -$1.36B(+1.8%) |
Jan 2025 | -$1.38B(-41.1%) | -$363.50M(+9.4%) | -$1.38B(-9.4%) |
Oct 2024 | - | -$401.40M(-37.3%) | -$1.26B(-25.3%) |
Jul 2024 | - | -$292.40M(+10.2%) | -$1.01B(+23.4%) |
Apr 2024 | - | -$325.70M(-32.8%) | -$1.32B(-34.4%) |
Jan 2024 | -$980.20M(-47.9%) | -$245.20M(-67.7%) | -$980.20M(-17.4%) |
Oct 2023 | - | -$146.20M(+75.6%) | -$834.70M(+11.3%) |
Jul 2023 | - | -$600.40M(-5275.9%) | -$941.30M(-141.1%) |
Apr 2023 | - | $11.60M(+111.6%) | -$390.40M(+41.1%) |
Jan 2023 | -$662.90M(-123.8%) | -$99.70M(+60.6%) | -$662.90M(+12.4%) |
Oct 2022 | - | -$252.80M(-410.7%) | -$756.40M(+3.7%) |
Jul 2022 | - | -$49.50M(+81.0%) | -$785.23M(+11.0%) |
Apr 2022 | - | -$260.90M(-35.0%) | -$882.45M(-131.6%) |
Jan 2022 | $2.79B(+599.5%) | -$193.20M(+31.4%) | $2.79B(+0.4%) |
Oct 2021 | - | -$281.63M(-92.0%) | $2.78B(-2.9%) |
Jul 2021 | - | -$146.72M(-104.3%) | $2.87B(-3.5%) |
Apr 2021 | - | $3.41B(+1780.9%) | $2.97B(+631.7%) |
Jan 2021 | -$558.76M(+34.6%) | - | - |
Jan 2021 | - | -$203.01M(-3.0%) | -$558.76M(+56.6%) |
Oct 2020 | - | -$197.17M(-377.9%) | -$1.29B(-59.1%) |
Jul 2020 | - | -$41.26M(+64.8%) | -$808.76M(+0.9%) |
Apr 2020 | - | -$117.32M(+87.4%) | -$815.95M(+4.5%) |
Jan 2020 | -$853.95M(-200.5%) | -$930.86M(-431.6%) | -$853.95M(-1064.7%) |
Oct 2019 | - | $280.68M(+679.4%) | -$73.32M(+86.4%) |
Jul 2019 | - | -$48.44M(+68.8%) | -$540.22M(-171.0%) |
Apr 2019 | - | -$155.32M(-3.4%) | $761.11M(-10.4%) |
Jan 2019 | $849.74M(+262.8%) | -$150.23M(+19.3%) | $849.74M(-15.6%) |
Oct 2018 | - | -$186.22M(-114.9%) | $1.01B(-4.4%) |
Jul 2018 | - | $1.25B(+1978.5%) | $1.05B(+374.6%) |
Apr 2018 | - | -$66.70M(-1130.7%) | -$383.59M(+26.5%) |
Jan 2018 | -$521.87M(-95.3%) | $6.47M(+104.6%) | -$521.87M(+17.0%) |
Oct 2017 | - | -$139.39M(+24.2%) | -$628.94M(-10.3%) |
Jul 2017 | - | -$183.97M(+10.2%) | -$570.09M(-35.2%) |
Apr 2017 | - | -$204.97M(-103.7%) | -$421.51M(-57.7%) |
Jan 2017 | -$267.25M(+21.4%) | -$100.60M(-24.9%) | -$267.25M(-50.7%) |
Oct 2016 | - | -$80.54M(-127.5%) | -$177.32M(+8.4%) |
Jul 2016 | - | -$35.40M(+30.2%) | -$193.65M(+40.6%) |
Apr 2016 | - | -$50.71M(-375.1%) | -$326.02M(+4.1%) |
Jan 2016 | -$339.84M(-196.1%) | -$10.67M(+89.0%) | -$339.84M(+1.6%) |
Oct 2015 | - | -$96.87M(+42.3%) | -$345.47M(-5.7%) |
Jul 2015 | - | -$167.77M(-160.0%) | -$326.92M(-127.1%) |
Apr 2015 | - | -$64.53M(-295.8%) | -$143.97M(-25.4%) |
Jan 2015 | -$114.77M(+62.9%) | -$16.30M(+79.2%) | -$114.77M(-415.5%) |
Oct 2014 | - | -$78.32M(-615.9%) | -$22.26M(-4.6%) |
Jul 2014 | - | $15.18M(+143.0%) | -$21.29M(+79.2%) |
Apr 2014 | - | -$35.32M(-146.4%) | -$102.53M(+66.8%) |
Jan 2014 | -$309.04M(+67.2%) | $76.20M(+198.5%) | -$309.04M(+51.6%) |
Oct 2013 | - | -$77.35M(-17.1%) | -$639.02M(+19.1%) |
Jul 2013 | - | -$66.06M(+72.7%) | -$789.56M(+18.5%) |
Apr 2013 | - | -$241.83M(+4.7%) | -$968.44M(-2.9%) |
Jan 2013 | -$940.80M | -$253.79M(-11.4%) | -$940.80M(-13.9%) |
Oct 2012 | - | -$227.89M(+7.0%) | -$825.96M(-2.7%) |
Jul 2012 | - | -$244.93M(-14.4%) | -$804.51M(-22.1%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Apr 2012 | - | -$214.19M(-54.1%) | -$658.76M(+47.0%) |
Jan 2012 | -$1.24B(-1705.9%) | -$138.95M(+32.7%) | -$1.24B(-16.9%) |
Oct 2011 | - | -$206.43M(-108.1%) | -$1.06B(-18.1%) |
Jul 2011 | - | -$99.18M(+87.6%) | -$900.31M(-17.0%) |
Apr 2011 | - | -$798.80M(-2042.7%) | -$769.78M(-1094.2%) |
Jan 2011 | $77.43M(-30.0%) | $41.12M(+194.6%) | $77.43M(-31.6%) |
Oct 2010 | - | -$43.45M(-238.6%) | $113.22M(-33.4%) |
Jul 2010 | - | $31.35M(-35.2%) | $170.08M(+7.0%) |
Apr 2010 | - | $48.40M(-37.1%) | $158.96M(+43.8%) |
Jan 2010 | $110.53M(+136.3%) | $76.91M(+473.4%) | $110.53M(+175.5%) |
Oct 2009 | - | $13.41M(-33.7%) | -$146.34M(+41.2%) |
Jul 2009 | - | $20.23M(>+9900.0%) | -$248.73M(+22.1%) |
Apr 2009 | - | -$19.00K(+100.0%) | -$319.32M(-5.0%) |
Jan 2009 | -$304.20M(-648.8%) | -$179.97M(-102.3%) | -$304.20M(-231.4%) |
Oct 2008 | - | -$88.97M(-76.7%) | -$91.80M(-466.1%) |
Jul 2008 | - | -$50.35M(-433.5%) | $25.07M(-67.1%) |
Apr 2008 | - | $15.10M(-53.4%) | $76.32M(+37.7%) |
Jan 2008 | $55.43M(-87.0%) | $32.43M(+16.3%) | $55.43M(-87.0%) |
Oct 2007 | - | $27.89M(+3006.3%) | $426.76M(+7.6%) |
Jul 2007 | - | $898.00K(+115.5%) | $396.44M(-4.3%) |
Apr 2007 | - | -$5.79M(-101.4%) | $414.23M(-3.0%) |
Jan 2007 | $427.00M(+190.1%) | $403.76M(>+9900.0%) | $427.00M(+265.7%) |
Oct 2006 | - | -$2.43M(-113.0%) | $116.75M(-8.8%) |
Jul 2006 | - | $18.69M(+168.0%) | $128.05M(-6.7%) |
Apr 2006 | - | $6.97M(-92.5%) | $137.22M(-6.8%) |
Jan 2006 | $147.21M(+23.6%) | $93.52M(+954.6%) | $147.21M(+60.1%) |
Oct 2005 | - | $8.87M(-68.2%) | $91.97M(-21.4%) |
Jul 2005 | - | $27.86M(+64.2%) | $117.04M(-1.9%) |
Apr 2005 | - | $16.96M(-55.7%) | $119.25M(+0.1%) |
Jan 2005 | - | $38.28M(+12.8%) | $119.10M(+27.5%) |
Jan 2005 | $119.10M(+48.9%) | - | - |
Oct 2004 | - | $33.94M(+12.9%) | $93.39M(-5.3%) |
Jul 2004 | - | $30.07M(+78.9%) | $98.66M(+4.1%) |
Apr 2004 | - | $16.81M(+33.7%) | $94.81M(+18.5%) |
Jan 2004 | $79.98M(+294.4%) | $12.57M(-67.9%) | $79.98M(+8.1%) |
Oct 2003 | - | $39.20M(+49.5%) | $74.01M(+111.7%) |
Jul 2003 | - | $26.23M(+1227.8%) | $34.96M(+158.1%) |
Apr 2003 | - | $1.98M(-70.1%) | $13.54M(-33.2%) |
Jan 2003 | - | $6.61M(+4190.3%) | $20.28M(-40.5%) |
Jan 2003 | $20.28M(-36.5%) | - | - |
Oct 2002 | - | $154.00K(-96.8%) | $34.05M(-5.3%) |
Jul 2002 | - | $4.81M(-44.8%) | $35.96M(-9.5%) |
Apr 2002 | - | $8.71M(-57.3%) | $39.72M(+24.4%) |
Jan 2002 | - | $20.38M(+891.4%) | $31.93M(+141.4%) |
Jan 2002 | $31.93M(-67.7%) | - | - |
Oct 2001 | - | $2.06M(-76.0%) | $13.22M(+19.8%) |
Jul 2001 | - | $8.57M(+839.0%) | $11.04M(-88.8%) |
Apr 2001 | - | $913.00K(-45.7%) | $98.48M(-0.5%) |
Jan 2001 | $98.95M(+1784.5%) | $1.68M(+1403.1%) | $98.95M(+1.7%) |
Oct 2000 | - | -$129.00K(-100.1%) | $97.27M(-0.1%) |
Jul 2000 | - | $96.02M(+6822.6%) | $97.40M(+6922.6%) |
Apr 2000 | - | $1.39M | $1.39M |
Jan 2000 | $5.25M(-21.6%) | - | - |
Jan 1999 | $6.70M(+4.7%) | - | - |
Jan 1998 | $6.40M | - | - |
FAQ
- What is Marvell Technology, Inc. annual cash from financing?
- What is the all-time high annual cash from financing for Marvell Technology, Inc.?
- What is Marvell Technology, Inc. annual cash from financing year-on-year change?
- What is Marvell Technology, Inc. quarterly cash from financing?
- What is the all-time high quarterly cash from financing for Marvell Technology, Inc.?
- What is Marvell Technology, Inc. quarterly cash from financing year-on-year change?
- What is Marvell Technology, Inc. TTM cash from financing?
- What is the all-time high TTM cash from financing for Marvell Technology, Inc.?
- What is Marvell Technology, Inc. TTM cash from financing year-on-year change?
What is Marvell Technology, Inc. annual cash from financing?
The current annual cash from financing of MRVL is -$1.38B
What is the all-time high annual cash from financing for Marvell Technology, Inc.?
Marvell Technology, Inc. all-time high annual cash from financing is $2.79B
What is Marvell Technology, Inc. annual cash from financing year-on-year change?
Over the past year, MRVL annual cash from financing has changed by -$402.80M (-41.09%)
What is Marvell Technology, Inc. quarterly cash from financing?
The current quarterly cash from financing of MRVL is -$45.90M
What is the all-time high quarterly cash from financing for Marvell Technology, Inc.?
Marvell Technology, Inc. all-time high quarterly cash from financing is $3.41B
What is Marvell Technology, Inc. quarterly cash from financing year-on-year change?
Over the past year, MRVL quarterly cash from financing has changed by +$246.50M (+84.30%)
What is Marvell Technology, Inc. TTM cash from financing?
The current TTM cash from financing of MRVL is -$1.11B
What is the all-time high TTM cash from financing for Marvell Technology, Inc.?
Marvell Technology, Inc. all-time high TTM cash from financing is $2.97B
What is Marvell Technology, Inc. TTM cash from financing year-on-year change?
Over the past year, MRVL TTM cash from financing has changed by -$102.50M (-10.15%)