Recent Annual Filings for AVAV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,015,860,000 $716,720,000 $655,163,000 $58,526,000 $15,292,000 $-22,852,000 $-59,274,000
2023 $824,577,000 $540,536,000 $731,366,000 $-174,105,000 $11,400,000 $50,834,000 $55,231,000
2022 $914,200,000 $445,732,000 $458,986,000 $-11,042,000 $-9,618,000 $-16,607,000 $-79,832,000
2021 $928,566,000 $394,912,000 $371,028,000 $23,360,000 $86,532,000 $194,160,000 $-98,079,000
2020 $584,954,000 $367,296,000 $320,113,000 $41,396,000 $25,097,000 $-1,830,000 $82,434,000
2019 $508,844,000 $314,274,000 $267,740,000 $47,461,000 $19,260,000 $-1,184,000 $29,191,000
2018 $472,911,000 $271,052,000 $238,515,000 $20,174,000 $69,209,000 $2,020,000 $63,613,000
2017 $432,500,000 $264,873,000 $250,664,000 $12,553,000 $-10,499,000 $3,470,000 $-44,383,000