Recent Annual Filings for AUBN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $977,324,000 $614,000 $-7,783,000 $5,819,000 $10,809,000 $-5,678,000 $21,985,000
2023 $975,255,000 $603,000 $-15,000 $13,286,000 $11,902,000 $-59,164,000 $44,115,000
2022 $1,023,888,000 $598,000 $-12,251,000 $-31,465,000 $10,980,000 $-49,027,000 $-129,005,000
2021 $1,105,150,000 $566,000 $-8,879,000 $1,331,000 $12,320,000 $150,206,000 $43,684,000
2020 $956,597,000 $585,000 $-8,474,000 $12,994,000 $9,728,000 $113,325,000 $20,132,000
2019 $827,879,000 $717,000 $-11,394,000 $15,563,000 $10,850,000 $-7,568,000 $27,367,000
2018 $818,077,000 $749,000 $-10,272,000 $5,637,000 $12,141,000 $-40,539,000 $-40,452,000
2017 $853,381,000 $28,120,000 $16,637,000 $8,077,000 $9,401,000 $14,456,000 $-15,749,000