Recent Annual Filings for AVNW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $535,223,000 $408,083,000 $391,177,000 $7,444,000 $30,540,000 $48,701,000 $42,413,000
2023 $364,496,000 $346,593,000 $323,490,000 $11,553,000 $-1,644,000 $-681,000 $-14,583,000
2022 $323,904,000 $302,959,000 $272,524,000 $19,458,000 $2,789,000 $-4,874,000 $-11,094,000
2021 $297,653,000 $274,911,000 $252,471,000 $110,781,000 $17,298,000 $-8,048,000 $6,326,000
2020 $179,801,000 $238,642,000 $234,933,000 $-1,976,000 $17,493,000 $-2,545,000 $9,671,000
2019 $169,193,000 $243,858,000 $242,308,000 $9,607,000 $2,944,000 $-2,952,000 $-5,563,000
2018 $156,061,000 $242,506,000 $241,240,000 $1,482,000 $8,209,000 $12,000 $1,195,000
2017 $152,576,000 $241,874,000 $242,479,000 $-1,249,000 $9,405,000 $21,000 $5,144,000