Recent Annual Filings for AORT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $789,101,000 $388,537,000 $396,051,000 $-26,276,000 $22,236,000 $2,203,000 $-5,477,000
2023 $792,397,000 $354,004,000 $375,590,000 $-21,091,000 $18,825,000 $865,000 $19,589,000
2022 $762,798,000 $313,789,000 $328,773,000 $-30,914,000 $-5,153,000 $-1,639,000 $-15,659,000