Recent Annual Filings for AGX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $836,227,000 $874,179,000 $762,975,000 $82,518,000 $167,584,000 $-26,060,000 $-51,769,000
2024 $598,229,000 $573,333,000 $524,400,000 $31,637,000 $116,858,000 $-26,050,000 $23,085,000
2023 $489,487,000 $455,040,000 $409,040,000 $32,673,000 $-30,061,000 $-82,803,000 $-176,525,000
2022 $553,585,000 $509,370,000 $462,308,000 $36,874,000 $28,415,000 $-34,608,000 $-16,199,000
2021 $602,630,000 $392,206,000 $367,321,000 $23,886,000 $174,680,000 $-45,406,000 $199,308,000
2020 $487,540,000 $238,997,000 $286,762,000 $-43,459,000 $53,565,000 $-13,991,000 $3,045,000
2019 $476,648,000 $482,153,000 $434,935,000 $50,268,000 $-112,322,000 $-15,540,000 $42,211,000
2018 $603,393,000 $892,815,000 $780,190,000 $74,195,000 $-72,793,000 $-13,622,000 $-45,091,000