Recent Annual Filings for ARVN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,304,600,000 $78,500,000 $442,400,000 $-351,200,000 $-347,800,000 $374,700,000 $230,400,000
2022 $1,268,800,000 $131,400,000 $382,400,000 $-297,000,000 $-273,500,000 $4,700,000 $-26,000,000
2021 $1,581,600,000 $46,700,000 $237,700,000 $-196,200,000 $559,400,000 $278,600,000 $-475,600,000
2020 $717,368,587 $21,801,777 $141,133,841 $-118,878,844 $-89,756,934 $504,669,030 $579,162,175
2019 $301,641,426 $42,976,478 $113,268,705 $-69,966,928 $-40,626,342 $139,743,906 $6,021,001
2018 $199,281,575 $14,323,920 $55,804,386 $-41,688,438 $-16,117,670 $168,060,695 $-27,722,335