Recent Annual Filings for AOSL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,145,013,000 $657,274,000 $659,917,000 $-16,389,000 $25,710,000 $-9,903,000 $-20,063,000
2023 $1,199,737,000 $691,321,000 $671,609,000 $3,173,000 $20,473,000 $-29,611,000 $-119,048,000
2022 $1,298,629,000 $777,552,000 $282,482,000 $450,848,000 $218,865,000 $21,854,000 $109,838,000
2021 $918,573,000 $656,902,000 $596,678,000 $70,479,000 $128,744,000 $-18,991,000 $42,109,000
2020 $792,939,000 $464,909,000 $482,818,000 $-23,096,000 $62,315,000 $37,651,000 $38,409,000
2019 $739,394,000 $450,920,000 $464,302,000 $-20,575,000 $31,421,000 $75,099,000 $-7,429,000
2018 $667,049,000 $421,553,000 $415,897,000 $5,192,000 $3,480,000 $206,953,000 $15,827,000
2017 $398,408,000 $383,337,000 $370,425,000 $8,248,000 $42,648,000 $40,809,000 $27,934,000