Recent Annual Filings for AVDX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,089,711,000 $438,940,000 $429,874,000 $8,145,000 $71,934,000 $-440,271,000 $-379,647,000
2023 $2,483,737,000 $380,720,000 $426,850,000 $-47,325,000 $8,451,000 $290,846,000 $351,243,000
2022 $2,211,996,000 $316,350,000 $417,313,000 $-101,284,000 $-28,701,000 $-1,727,000 $-170,776,000
2021 $2,266,303,000 $248,409,000 $452,718,000 $-199,649,000 $-68,667,000 $1,567,859,000 $1,415,085,000