Recent Annual Filings for AWI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,842,700,000 $1,445,700,000 $1,098,600,000 $259,400,000 $266,800,000 $-177,600,000 $9,900,000
2023 $1,672,400,000 $1,295,200,000 $996,900,000 $219,200,000 $233,500,000 $-258,600,000 $-35,500,000
2022 $1,687,200,000 $1,233,100,000 $975,500,000 $212,400,000 $182,400,000 $-201,900,000 $8,700,000
2021 $1,710,000,000 $1,106,600,000 $863,900,000 $182,900,000 $187,200,000 $-212,100,000 $-38,800,000
2020 $1,718,500,000 $936,900,000 $1,063,600,000 $167,700,000 $218,800,000 $13,500,000 $91,200,000
2019 $1,493,300,000 $1,038,100,000 $738,700,000 $297,900,000 $182,700,000 $-384,900,000 $-291,300,000
2018 $1,873,500,000 $975,300,000 $732,600,000 $126,500,000 $203,200,000 $-329,300,000 $176,100,000
2017 $1,873,500,000 $893,600,000 $671,500,000 $212,700,000 $170,400,000 $-102,700,000 $17,700,000