Recent Annual Filings for AVD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $767,548,000 $579,371,000 $569,074,000 $13,738,000 $-58,748,000 $66,737,000 $-9,028,000
2022 $726,313,000 $609,615,000 $573,650,000 $29,006,000 $57,105,000 $-38,260,000 $4,375,000
2021 $694,160,000 $556,872,000 $529,731,000 $14,125,000 $86,361,000 $-65,871,000 $448,000
2020 $680,293,000 $458,704,000 $440,257,000 $11,618,000 $89,198,000 $-43,213,000 $10,190,000
2019 $670,098,000 $468,186,000 $449,174,000 $12,410,000 $9,403,000 $46,406,000 $972,000
2018 $593,587,000 $454,272,000 $420,676,000 $24,062,000 $11,346,000 $11,133,000 $-5,218,000
2017 $535,592,000 $355,047,000 $330,194,000 $20,705,000 $59,001,000 $33,935,000 $3,424,000
2016 $429,956,000 $312,113,000 $293,196,000 $11,714,000 $46,406,000 $-28,545,000 $3,724,000