Recent Annual Filings for AVPT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $519,055,000 $330,482,000 $354,881,000 $-31,856,000 $88,894,000 $-15,537,000 $70,756,000
2023 $442,582,000 $271,825,000 $290,439,000 $-20,297,000 $34,694,000 $-33,667,000 $-4,621,000
2022 $415,533,000 $232,339,000 $265,989,000 $-38,938,000 $-774,000 $-17,148,000 $-39,374,000
2021 $388,738,000 $191,909,000 $224,697,000 $-32,782,000 $5,030,000 $198,617,000 $200,270,000