Recent Annual Filings for ARW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,757,707,000 $27,923,324,000 $2,523,851,000 $179,519,000 $1,130,413,000 $-956,827,000 $79,144,000
2023 $21,726,168,000 $33,107,120,000 $2,677,854,000 $977,717,000 $705,449,000 $-666,222,000 $-33,096,000
2022 $21,763,182,000 $37,124,422,000 $2,768,131,000 $1,259,861,000 $-33,077,000 $109,782,000 $-45,279,000
2021 $19,535,540,000 $34,477,018,000 $2,645,543,000 $1,020,502,000 $418,983,000 $-463,304,000 $-151,421,000
2020 $17,053,911,000 $28,673,363,000 $2,296,619,000 $747,064,000 $1,359,843,000 $-1,227,097,000 $73,512,000
2019 $16,400,796,000 $28,916,847,000 $3,190,685,000 $-163,604,000 $857,995,000 $-906,369,000 $-209,224,000
2018 $17,784,445,000 $29,676,768,000 $2,553,400,000 $566,831,000 $272,690,000 $-36,833,000 $-220,756,000
2017 $16,462,809,000 $26,812,508,000 $2,428,889,000 $671,018,000 $124,557,000 $256,746,000 $195,763,000