Recent Annual Filings for AMSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $310,521,000 $222,818,000 $220,452,000 $6,016,000 $28,285,000 $8,000 $-6,913,000
2024 $232,771,000 $145,639,000 $156,441,000 $-11,100,000 $2,138,000 $65,441,000 $66,618,000
2023 $175,561,000 $105,984,000 $140,810,000 $-33,179,000 $-22,485,000 $162,000 $-23,840,000
2022 $173,887,000 $108,435,000 $129,477,000 $-19,193,000 $-18,977,000 $142,000 $-25,998,000
2021 $168,866,000 $87,125,000 $110,635,000 $-22,678,000 $-13,552,000 $101,477,000 $87,894,000
2020 $124,109,000 $63,838,000 $80,739,000 $-17,307,000 $-16,497,000 $5,776,000 $-47,334,000
2019 $119,330,000 $56,207,000 $23,066,000 $25,873,000 $42,714,000 $-299,000 $43,949,000
2018 $88,175,000 $48,403,000 $35,952,000 $-31,390,000 $-24,827,000 $15,278,000 $7,300,000