Recent Annual Filings for AMWD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,593,865,000 $1,847,502,000 $1,695,534,000 $113,162,000 $230,750,000 $-92,893,000 $45,666,000
2023 $1,518,798,000 $2,066,200,000 $1,943,514,000 $93,870,000 $198,837,000 $-134,093,000 $19,407,000
2022 $1,632,496,000 $1,857,186,000 $1,900,165,000 $35,071,000 $24,445,000 $-41,619,000 $-68,746,000
2021 $1,636,514,000 $1,744,014,000 $1,666,579,000 $55,368,000 $151,763,000 $-115,322,000 $-5,988,000
2020 $1,622,806,000 $1,650,333,000 $1,549,785,000 $73,179,000 $177,542,000 $-99,223,000 $39,403,000
2019 $1,529,931,000 $1,645,319,000 $1,534,431,000 $83,266,000 $190,845,000 $-173,676,000 $-20,754,000
2018 $1,645,345,000 $1,250,274,000 $1,155,514,000 $63,229,000 $86,775,000 $-141,027,000 $-98,568,000
2017 $501,273,000 $1,030,248,000 $921,323,000 $78,067,000 $77,080,000 $-20,821,000 $2,515,000