Recent Annual Filings for ACHR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,001,200,000 $-537,100,000 $-368,600,000 $820,400,000 $369,800,000
2023 $554,300,000 $-457,100,000 $-271,600,000 $250,100,000 $399,200,000
2022 $573,800,000 $-318,100,000 $-200,400,000 $-9,900,000 $-674,600,000
2021 $768,400,000 $-347,800,000 $-108,400,000 $822,200,000 $710,300,000