Recent Annual Filings for ARAY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $468,627,000 $446,551,000 $458,371,000 $-20,189,000 $-11,904,000 $-3,951,000 $-20,810,000
2023 $479,214,000 $447,605,000 $454,393,000 $-11,264,000 $15,539,000 $-2,112,000 $1,048,000
2022 $472,849,000 $429,909,000 $431,911,000 $-5,034,000 $-2,400,000 $-15,369,000 $-28,047,000
2021 $480,098,000 $396,289,000 $400,848,000 $-3,734,000 $38,512,000 $-28,805,000 $8,290,000
2020 $490,927,000 $382,928,000 $377,238,000 $3,353,000 $-1,469,000 $26,696,000 $21,733,000
2019 $438,181,000 $418,785,000 $433,129,000 $-17,533,000 $-29,641,000 $28,473,000 $-5,355,000
2018 $378,727,000 $404,897,000 $427,918,000 $-22,754,000 $18,331,000 $-27,453,000 $8,298,000
2017 $406,464,000 $383,414,000 $411,955,000 $-28,671,000 $-380,000 $-54,538,000 $-36,898,000