Recent Annual Filings for ANGO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $317,671,000 $303,914,000 $495,552,000 $-183,991,000 $-28,158,000 $-64,248,000 $31,436,000
2023 $532,637,000 $338,752,000 $393,189,000 $-58,522,000 $78,000 $25,420,000 $15,795,000
2022 $552,751,000 $316,219,000 $346,168,000 $-28,343,000 $-7,194,000 $7,683,000 $-19,336,000
2021 $561,438,000 $291,010,000 $327,062,000 $-27,054,000 $24,093,000 $-16,986,000 $-6,274,000
2020 $594,214,000 $264,157,000 $432,292,000 $-166,776,000 $-14,554,000 $-95,242,000 $-173,206,000
2019 $836,438,000 $270,634,000 $285,336,000 $61,340,000 $37,440,000 $33,931,000 $153,545,000
2018 $705,472,000 $344,285,000 $336,820,000 $16,335,000 $41,287,000 $-11,551,000 $26,552,000
2017 $707,961,000 $349,643,000 $339,796,000 $5,008,000 $55,745,000 $-37,983,000 $15,211,000