Recent Annual Filings for AVNT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,811,100,000 $3,240,400,000 $3,015,600,000 $80,300,000 $256,800,000 $-120,900,000 $-1,300,000
2023 $5,968,500,000 $3,142,800,000 $3,055,500,000 $64,600,000 $201,600,000 $-201,700,000 $-95,300,000
2022 $6,085,000,000 $3,396,900,000 $3,333,100,000 $673,200,000 $398,400,000 $166,400,000 $39,900,000
2021 $4,997,200,000 $4,818,800,000 $4,514,200,000 $158,600,000 $233,800,000 $-114,600,000 $-48,300,000
2020 $4,870,500,000 $3,242,100,000 $3,103,100,000 $242,400,000 $221,600,000 $982,000,000 $-215,200,000