Recent Annual Filings for ASPN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $703,048,000 $238,718,000 $284,529,000 $-45,811,000 $-42,612,000 $75,477,000 $-142,590,000
2022 $643,416,000 $180,364,000 $263,102,000 $-82,738,000 $-94,399,000 $478,370,000 $205,997,000
2021 $182,954,000 $121,622,000 $158,716,000 $-37,094,000 $-18,628,000 $92,474,000 $60,068,000
2020 $97,424,000 $100,273,000 $122,082,000 $-21,809,000 $-9,924,000 $26,203,000 $12,863,000
2019 $103,502,000 $139,375,000 $153,940,000 $-14,565,000 $-1,054,000 $3,472,000 $306,000
2018 $99,023,000 $104,361,000 $138,801,000 $-34,440,000 $-8,654,000 $4,880,000 $-7,367,000
2017 $123,815,000 $111,631,000 $130,767,000 $-19,321,000 $-4,606,000 $3,332,000 $-7,392,000
2016 $134,669,000 $117,738,000 $128,958,000 $-12,023,000 $-578,000 $-924,000 $-14,718,000