Recent Annual Filings for ATRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $648,764,000 $795,426,000 $803,293,000 $-10,652,000 $30,566,000 $-14,530,000 $7,115,000
2023 $633,792,000 $689,206,000 $715,517,000 $-26,321,000 $-23,950,000 $25,435,000 $-2,465,000
2022 $615,031,000 $534,894,000 $564,687,000 $-30,778,000 $-28,312,000 $-1,412,000 $-15,979,000
2021 $609,138,000 $444,908,000 $471,868,000 $-23,623,000 $-5,530,000 $-7,505,000 $-10,655,000
2020 $619,745,000 $502,587,000 $614,997,000 $-116,603,000 $37,335,000 $-24,576,000 $8,506,000
2019 $782,716,000 $772,702,000 $704,399,000 $49,718,000 $42,689,000 $-92,182,000 $15,284,000
2018 $774,640,000 $803,256,000 $750,974,000 $48,199,000 $54,881,000 $-36,134,000 $-1,292,000
2017 $735,956,000 $624,464,000 $599,473,000 $21,821,000 $37,783,000 $91,425,000 $13,000