Recent Annual Filings for AVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,941,000,000 $1,938,000,000 $1,632,000,000 $180,000,000 $534,000,000 $5,000,000
2023 $7,702,477,000 $1,751,554,000 $1,493,864,000 $172,881,000 $447,079,000 $84,885,000 $21,575,000
2022 $7,417,350,000 $1,710,207,000 $1,519,965,000 $164,157,000 $124,207,000 $327,291,000 $-8,740,000
2021 $6,853,583,000 $1,438,936,000 $1,210,704,000 $150,673,000 $267,340,000 $185,548,000 $7,972,000
2020 $6,402,097,000 $1,321,891,000 $1,089,191,000 $125,369,000 $331,004,000 $84,039,000 $4,300,000
2019 $6,082,456,000 $1,345,622,000 $1,135,233,000 $194,370,000 $398,212,000 $42,539,000 $-4,760,000
2018 $5,782,576,000 $1,396,893,000 $1,135,780,000 $138,564,000 $361,885,000 $77,031,000 $-1,516,000
2017 $5,514,732,000 $1,445,929,000 $1,161,420,000 $115,410,000 $410,298,000 $31,470,000 $7,665,000