Recent Annual Filings for AEVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $147,489,000 $9,065,000 $161,155,000 $-152,127,000 $-106,913,000 $-671,000 $-9,683,000
2023 $257,385,000 $4,312,000 $153,645,000 $-145,835,000 $-118,826,000 $20,676,000 $-28,873,000
2022 $356,632,000 $4,192,000 $151,497,000 $-150,366,000 $-109,911,000 $-369,000 $610,000
2021 $479,188,000 $9,265,000 $111,143,000 $-102,402,000 $-82,105,000 $512,863,000 $42,186,000