Recent Annual Filings for AVTR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,114,500,000 $6,783,600,000 $5,929,700,000 $596,500,000 $840,800,000 $-1,281,200,000 $-23,000,000
2023 $12,972,700,000 $6,967,200,000 $6,556,700,000 $352,400,000 $870,000,000 $-843,700,000 $-109,200,000
2022 $13,464,300,000 $7,512,400,000 $6,661,300,000 $629,400,000 $843,600,000 $-648,700,000 $69,800,000
2021 $13,897,200,000 $7,386,100,000 $6,633,100,000 $507,700,000 $953,600,000 $3,219,200,000 $37,900,000
2020 $9,906,500,000 $6,393,600,000 $6,331,300,000 $224,200,000 $929,800,000 $-782,900,000 $99,900,000
2019 $9,773,300,000 $6,040,300,000 $5,999,700,000 $18,400,000 $354,000,000 $-307,800,000 $1,600,000
2011 $409,056,000 $88,982,000 $254,686,000 $-166,177,000 $-17,568,000 $23,209,000 $8,814,000