Recent Annual Filings for AXON

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,436,845,000 $1,563,391,000 $1,408,391,000 $170,727,000 $189,263,000 $41,314,000 $245,118,000
2022 $2,851,894,000 $1,189,935,000 $993,417,000 $141,277,000 $235,361,000 $598,100,000 $-886,000
2021 $1,688,210,000 $863,381,000 $1,004,756,000 $-61,476,000 $124,494,000 $-174,181,000 $200,887,000