Recent Annual Filings for APPN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $627,503,000 $545,363,000 $653,595,000 $-127,750,000 $-110,442,000 $79,165,000 $-1,030,000
2022 $594,214,000 $467,991,000 $618,219,000 $-152,479,000 $-106,551,000 $142,867,000 $46,421,000
2021 $504,519,000 $369,259,000 $457,122,000 $-89,318,000 $-53,918,000 $2,786,000 $-8,502,000
2020 $512,521,000 $304,573,000 $337,167,000 $-38,202,000 $-7,620,000 $110,468,000 $-47,293,000
2019 $371,485,000 $260,352,000 $310,246,000 $-51,541,000 $-8,926,000 $105,549,000 $64,825,000
2018 $233,180,000 $226,743,000 $275,955,000 $-49,348,000 $-31,321,000 $60,962,000 $21,172,000
2017 $161,052,000 $176,737,000 $206,983,000 $-31,898,000 $-9,128,000 $50,948,000 $42,615,000