Recent Annual Filings for ATRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $613,932,000 $399,245,000 $429,092,000 $-27,335,000 $4,484,000 $-32,000 $26,211,000
2022 $585,448,000 $330,379,000 $376,577,000 $-49,614,000 $-22,141,000 $-7,059,000 $14,445,000
2021 $615,312,000 $274,329,000 $223,942,000 $48,939,000 $-13,780,000 $-7,642,000 $1,710,000
2020 $714,539,000 $206,531,000 $254,572,000 $-47,685,000 $-19,869,000 $189,392,000 $13,461,000
2019 $557,880,000 $230,807,000 $265,802,000 $-35,153,000 $-15,811,000 $14,373,000 $-3,748,000
2018 $356,759,000 $201,630,000 $222,541,000 $-21,370,000 $-4,171,000 $100,176,000 $10,422,000
2017 $267,704,000 $174,716,000 $201,594,000 $-26,390,000 $-8,944,000 $2,760,000 $-2,399,000
2016 $276,421,000 $155,109,000 $188,407,000 $-33,195,000 $-15,119,000 $27,695,000 $444,000