Recent Annual Filings for AVY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,404,200,000 $8,755,700,000 $7,802,200,000 $656,900,000 $938,800,000 $-576,100,000 $114,100,000
2023 $8,209,800,000 $8,364,300,000 $7,669,600,000 $458,900,000 $826,000,000 $-317,200,000 $47,800,000
2022 $7,971,600,000 $8,408,300,000 $7,415,700,000 $806,800,000 $1,046,800,000 $604,300,000 $-89,600,000
2020 $6,083,900,000 $6,971,500,000 $6,234,200,000 $554,400,000 $751,300,000 $-207,700,000 $-1,400,000
2019 $5,488,800,000 $7,070,100,000 $6,820,600,000 $637,500,000 $746,500,000 $-470,300,000 $21,700,000
2018 $5,177,500,000 $7,159,000,000 $6,604,200,000 $465,900,000 $457,900,000 $-208,100,000 $7,600,000
2017 $5,136,900,000 $6,613,800,000 $6,024,300,000 $353,200,000 $650,100,000 $-83,900,000 $29,300,000
2016 $4,396,400,000 $6,086,500,000 $5,609,400,000 $251,800,000 $585,300,000 $-106,200,000 $36,300,000