The Inventing Press

VIAVI SOLUTIONS INC.

Financial highlights

MetricFY 06/28/25FY 06/29/24FY 07/01/23FY 07/02/22FY 07/03/21
Income Statement
Revenue$1.1B$1.0B$1.1B$1.3B$1.2B
Cost of revenue$463.2M$424.5M$467.3M$518.9M$484.5M
Gross profit$621.1M$575.9M$638.8M$773.5M$714.4M
Selling, general & administrative$349.4M$333.3M$328.7M$365.7M$337.5M
Research and development$208.7M$201.9M$206.9M$213.2M$203.0M
Operating expenses$563.6M$555.1M$556.4M$588.5M$572.2M
Operating income$57.5M$20.8M$82.4M$185.0M$142.2M
Interest expense$30.0M$30.9M$27.1M$23.3M$14.7M
Pretax income$38.6M$11.6M$60.7M$65.1M$130.8M
Income tax expense$4.4M$37.4M$35.2M$49.6M$63.3M
Net income$34.8M-$25.8M$25.5M$15.5M$67.5M
Balance Sheet
Cash and equivalents$423.6M$471.3M$506.5M$559.9M$697.8M
Current assets$885.2M$876.5M$945.0M$1.0B$1.1B
Total assets$2.0B$1.7B$1.9B$1.8B$2.0B
Current liabilities$589.7M$247.1M$343.5M$369.3M$747.4M
Total liabilities$1.2B$1.1B
Stockholders' equity$780.2M$681.6M$690.8M$671.7M$763.9M
Cash Flow Statement
Cash from operations$89.8M$116.4M$114.1M$178.1M$243.3M
Depreciation and amortization$38.4M$38.6M$36.2M$35.7M$35.8M
Stock-based compensation$53.1M$49.4M$51.2M$52.3M$48.3M
Capital expenditure$27.8M$19.5M$51.1M$72.5M$52.1M
Free cash flow$62.0M$96.9M$63.0M$105.6M$191.2M
Share repurchases$16.4M$20.0M$83.9M$235.9M$42.2M

Shares outstanding 233.9M · Free float 99.1%

Annual filing data through FY ended June 28, 2025; float as of July 11, 2026.