Recent Annual Filings for ARLO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $285,538,000 $491,176,000 $512,037,000 $-21,609,000 $38,302,000 $-15,142,000 $-27,526,000
2022 $272,201,000 $490,414,000 $546,065,000 $-56,733,000 $-45,962,000 $-13,942,000 $-91,677,000
2021 $347,490,000 $435,137,000 $490,489,000 $-56,032,000 $-23,197,000 $-4,970,000 $-10,435,000
2020 $413,968,000 $357,154,000 $457,780,000 $-101,246,000 $-46,530,000 $-23,000 $-50,528,000
2019 $542,712,000 $370,007,000 $451,578,000 $-85,953,000 $9,171,000 $-38,000 $85,395,000
2018 $595,946,000 $464,918,000 $539,629,000 $-75,483,000 $-17,686,000 $244,287,000 $155,316,000