Recent Annual Filings for ASAN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $891,415,000 $723,876,000 $974,647,000 $-259,151,000 $14,925,000 $-58,093,000 $-51,799,000
2024 $961,960,000 $652,504,000 $905,829,000 $-256,393,000 $-17,931,000 $16,777,000 $-289,900,000
2023 $954,963,000 $547,212,000 $950,105,000 $-408,015,000 $-160,058,000 $381,391,000 $286,160,000
2022 $707,035,000 $378,437,000 $663,542,000 $-289,007,000 $-83,785,000 $37,210,000 $-19,475,000
2021 $731,119,000 $227,004,000 $437,181,000 $-211,569,000 $-92,870,000 $201,005,000 $-50,799,000