Recent Annual Filings for ANDE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,121,314,000 $11,257,548,000 $11,056,791,000 $160,420,000 $331,506,000 $-250,359,000 $-82,083,000
2023 $3,855,007,000 $14,750,112,000 $14,580,549,000 $134,910,000 $946,750,000 $-263,993,000 $528,585,000
2022 $4,607,996,000 $17,325,384,000 $17,130,802,000 $186,269,000 $287,117,000 $-334,730,000 $-101,175,000
2021 $4,569,219,000 $12,612,050,000 $12,451,280,000 $149,136,000 $-51,050,000 $-248,769,000 $187,321,000
2020 $4,272,121,000 $8,208,436,000 $8,232,910,000 $-19,060,000 $-74,432,000 $136,296,000 $-25,772,000
2019 $3,900,741,000 $8,170,191,000 $8,142,080,000 $14,216,000 $348,562,000 $8,707,000 $32,302,000
2018 $2,392,003,000 $3,045,382,000 $2,992,226,000 $37,538,000 $-35,519,000 $209,186,000 $-12,326,000
2017 $2,162,354,000 $3,686,345,000 $3,706,870,000 $52,377,000 $75,285,000 $10,498,000 $-27,711,000